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INTERNATIONAL MONETARY FUND

Balance of
Payments Statistics

Part I: Country Tables


Part II: World and Regional Tables
First Time Data Reporters:

Democratic Republic of Congo (BOP), Curacao (BOP), Fiji (IIP), Ghana (IIP), Kosovo (IIP), Malawi (IIP), Qatar
(BOP), Saudi Arabia (IIP), Sint Maarten (BOP), West Bank and Gaza (IIP), and Zambia (IIP).

Yearbook 2012

International Monetary Fund. Not for Redistribution

BALANCE OF PAYMENTS STATISTICS YEARBOOK


Volume 63, Part 1: Country Tables, 2012
Part 2: World and Regional Tables 201
Prepared by the IMF Statistics Department
Adelheid Burgi-Schmelz, Director, Statistics Department

For information related to this publication, please:


fax the Statistics Department at (202) 623-6460,
or write Statistics Department
International Monetary Fund
Washington, D.C. 20431
or e-mail your query to StatisticsQuery@imf.org
For copyright inquiries, please fax the Editorial Division at (202) 623-6579.
For purchases only, please contact Publication Services (see information below).
Copyright 2012, International Monetary Fund
Balance of Payments Statistics Yearbook (BOPSY): Issued in two parts, this
annual publication contains balance of payments and international investment
position data. Part I provides detailed tables on balance of payments statistics for
approximately 184 countries and international investment position data for
134 countries. Part 2 presents tables of regional and world totals of major balance
of payments components, net International Investment Position (IIP), plus Total
Assets and Total Liabilities for the IIP.
Cutoff date: August 24, 2012
Address orders to:
International Monetary Fund
Attention: Publication Services
Washington, D.C. 20431
U.S.A.
Telephone: (202) 623-7430
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ISSN 0252-3035
ISBN 978-1-61635-403-9

International Monetary Fund. Not for Redistribution

CONTENTS
Introduction .......................................... v
Annexes ................................................. xi
French Introduction .............................. f-i
French Annexes .................................. f-vii
Spanish Introduction ............................s-i
Spanish Annexes ............................... s-vii

Fiji (includes IIP) ................................... 322


Norway (includes IIP) ........................... 692
Finland (includes IIP) ............................ 328
Oman .................................................. 698
France (includes IIP) .............................. 334
Pakistan (includes IIP) ........................... 702
French Polynesia ................................. 340
Panama (includes IIP) ............................ 708
Gabon ................................................. 344
Papua New Guinea ............................. 714
Gambia, The ....................................... 348
Paraguay (includes IIP) .......................... 718
Georgia (includes IIP) ........................... 352
Peru (includes IIP) ................................. 724
Part 1: Country Tables
Germany (includes IIP) ......................... 358
Philippines (includes IIP) ....................... 730
Albania (includes IIP) ................................ 2
Ghana (includes IIP) ............................. 364
Poland (includes IIP) ............................. 736
Algeria ..................................................... 8
Greece (includes IIP) ............................. 370
Portugal (includes IIP) ........................... 742
Angola (includes IIP) .............................. 12
Grenada .............................................. 376
Qatar ................................................... 748
Anguilla ................................................. 18
Guatemala
(includes
IIP)
.......................
380
Romania (includes IIP) .......................... 752
Antigua and Barbuda ............................ 22
Guinea (includes IIP) ............................. 386
Russian Federation (includes IIP) .......... 758
Argentina (includes IIP) .......................... 26
Guinea-Bissau (includes IIP) ................. 392
Rwanda (includes IIP) ........................... 764
Armenia, Republic of (includes IIP) ........ 32
Guyana ............................................... 398
St. Kitts and Nevis ............................... 770
Aruba (includes IIP) ................................ 38
Haiti (includes IIP) ................................ 402
St. Lucia ............................................... 774
Australia (includes IIP) ............................ 44
Honduras
(includes
IIP)
........................
408
St. Vincent and the Grenadines .......... 778
Austria (includes IIP) .............................. 50
Hungary (includes IIP) .......................... 414
Samoa .................................................. 782
Azerbaijan, Republic of (includes IIP) .... 56
Iceland (includes IIP) ............................. 420
So Tom and Prncipe ....................... 786
Bahamas, The ....................................... 62
India (includes IIP) ................................ 426
Saudi Arabia (includes IIP) .................... 790
Bahrain, Kingdom of (includes IIP) ........ 66
Indonesia (includes IIP) ........................ 432
Senegal (includes IIP) ............................ 796
Bangladesh (includes IIP) ........................ 72
Iraq (includes IIP) .................................. 438
Serbia, Republic of (includes IIP) .......... 802
Barbados (includes IIP) ........................... 78
Ireland (includes IIP) ............................. 444
Seychelles ............................................ 808
Belarus (includes IIP) .............................. 84
Sierra Leone (includes IIP) ..................... 812
Israel (includes IIP) ................................ 450
Belgium (includes IIP) ............................. 90
Singapore (includes IIP) ........................ 818
Italy (includes IIP) ................................. 456
Belize .................................................... 96
Sint Maarten ........................................ 824
Jamaica (includes IIP) ............................ 462
Benin (includes IIP) ............................... 100
Slovak Republic (includes IIP) .............. 828
Japan (includes IIP) ............................... 468
Bermuda ............................................. 106
Slovenia (includes IIP) ........................... 834
Jordan (includes IIP) .............................. 474
Bhutan (includes IIP) ............................ 110
Solomon Islands (includes IIP) ............. 840
Kazakhstan (includes IIP) ...................... 480
Bolivia (includes IIP) ............................. 116
South Africa (includes IIP) .................... 846
Kenya .................................................. 486
Bosnia and Herzegovina (includes IIP) . 122
Spain (includes IIP) ............................... 852
Korea, Republic of (includes IIP) .......... 490
Botswana (includes IIP) ........................ 128
Sri Lanka .............................................. 858
Kosovo (includes IIP) ............................ 496
Brazil (includes IIP) ............................... 134
Sudan (includes IIP) .............................. 862
Kuwait (includes IIP) ............................. 502
Brunei Darussalam ............................. 140
Suriname ............................................. 868
Kyrgyz Republic (includes IIP) ............. 508
Bulgaria (includes IIP) ........................... 144
Swaziland (includes IIP) ........................ 872
Lao People's Democratic Republic ..... 514
Burkina Faso (includes IIP) ................... 150
Sweden (includes IIP) ............................ 878
Latvia (includes IIP) ............................... 518
Burundi (includes IIP) ........................... 156
Switzerland (includes IIP) ..................... 884
Lebanon .............................................. 524
Cambodia (includes IIP) ....................... 162
Syrian Arab Republic (includes IIP) ...... 890
Lesotho (includes IIP) ........................... 528
Cameroon ........................................... 168
Tajikistan ............................................. 896
Liberia ................................................. 534
Canada (includes IIP) ............................ 172
Libya ................................................... 538
Tanzania (includes IIP) .......................... 900
Cape Verde (includes IIP) ..................... 178
Lithuania (includes IIP) ......................... 542
Thailand (includes IIP) .......................... 906
Chile (includes IIP) ............................... 184
Luxembourg (includes IIP) .................... 548
Timor-Leste, Dem. Rep. of ................. 912
China, P.R.: Mainland (includes IIP) .... 190
Macedonia, FYR (includes IIP) ............. 554
Togo (includes IIP) ................................ 916
China, P.R.: Hong Kong (includes IIP) . 196
Madagascar
.........................................
560
Tonga .................................................. 922
China, P.R.: Macao ............................. 202
Malawi (includes IIP) ............................ 564
Trinidad and Tobago .......................... 926
Colombia (includes IIP) ........................ 206
Malaysia (includes IIP) .......................... 570
Tunisia (includes IIP) ............................ 930
Congo, Democratic Republic of ......... 212
Maldives (includes IIP) ......................... 576
Turkey (includes IIP) ............................. 936
Congo, Republic of ............................ 216
Mali (includes IIP) ................................. 582
Uganda (includes IIP) ............................ 942
Costa Rica (includes IIP) ....................... 220
Malta
(includes
IIP)
...............................
588
Ukraine (includes IIP) ............................ 948
Cte d'Ivoire (includes IIP) ................... 226
Mauritius (includes IIP) ......................... 594
United Kingdom (includes IIP) ............. 954
Croatia (includes IIP) ............................ 232
Mexico (includes IIP) ............................ 600
United States (includes IIP) ................... 960
Curaao ............................................... 238
Moldova (includes IIP) ......................... 606
Uruguay (includes IIP) .......................... 966
Curaao and Sint Maarten .................. 242
Mongolia (includes IIP) ......................... 612
Vanuatu (includes IIP) ........................... 972
Cyprus (includes IIP) ............................ 246
Montenegro
........................................
618
Venezuela, Repblica Bolivariana de
Czech Republic (includes IIP) ............... 252
Montserrat .......................................... 622
(includes IIP) .......................................... 978
Denmark (includes IIP) ......................... 258
Morocco (includes IIP) ......................... 626
Vietnam ............................................... 984
Djibouti (includes IIP) ........................... 264
Mozambique (includes IIP) .................. 632
West Bank and Gaza (includes IIP) ....... 988
Dominica ............................................ 270
Myanmar (includes IIP) ........................ 638
Yemen, Republic of (includes IIP) ......... 994
Dominican Republic (includes IIP) ....... 274
Namibia
(includes
IIP)
..........................
644
Zambia (includes IIP) .......................... 1000
Eastern Caribbean Currency Union ... 280
Nepal ................................................... 650
Ecuador (includes IIP) ........................... 284
Netherlands (includes IIP) ..................... 654
Egypt (includes IIP) ............................... 290
Part 2: World and
Netherlands Antilles ........................... 660
El Salvador (includes IIP) ...................... 296
Regional Tables
New
Caledonia
...................................
664
Estonia (includes IIP) ............................ 302
Introduction.. 1009
New
Zealand
(includes
IIP)
..................
668
Ethiopia ............................................... 308
Content.... 1015
Nicaragua (includes IIP) ........................ 674
Euro Area (includes IIP) ........................ 312
World and Regional Tables..... 1017
Niger (includes IIP) ............................... 680
Faroe Islands ....................................... 318
Nigeria (includes IIP) ............................. 686
Country in this publication does not always refer to a territorial entity that is a state as understood by international law and practice; the term also
covers the euro area, the Eastern Caribbean Currency Union, and some nonsovereign territorial entities, for which statistical data are provided
internationally on a separate basis.
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

iii

SELECTION OF STATISTICAL PUBLICATIONS


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International Monetary Fund. Not for Redistribution

INTRODUCTION
Volume 63 of the Balance of Payments Statistics Yearbook, published by the International Monetary Fund
(IMF), is the first Yearbook to contain balance of payments and international investment position (IIP) data
in accordance with the sixth edition of the Balance of
Payments and International Investment Position Manual
(BPM6)1. Data are presented for 2005 forward. The
IMF is grateful for countries cooperation in providing
comprehensive, timely, and regular data to the Fund
for re-dissemination. These data support the IMFs
Statistics Department (STA) in its efforts to respond
to the analytical and policy needs of the IMF, member countries, and the international community.
The Yearbook consists of two parts. Part 1 Country
Tables presents annual balance of payments and IIP
data of individual countries, jurisdictions, and other
reporting entities; and Part 2 World and Regional Tables
displays 21 World and Regional Tables for major
components of the balance of payments. Balance of
Payments and IIP metadata (previously included as
Part 3 Methodologies, Compilation Practices, and Data
Sources) is now published only in electronic format
through eLibrary-Data2 and CD-ROM. The Yearbook
is supplemented by the monthly updated online
database and CD-ROM.
As noted, this is the first release of the Yearbook on
the basis of BPM6,3 which was endorsed by the
IMFs Committee on Balance of Payments Statistics, and
published in 2009. It provides updated global standards covering the methodologies for compiling, and
the presentation of, international account statistics.
The BPM6 incorporates clarifications and improvements reflecting significant developments and expansion in globalized international trade arrangements
and financial markets that had been identified since
the release of the fifth edition of the Balance of Payments Manual (BPM5) in 1993. Moreover, the linkages
to and consistency with other macroeconomic statis-

1See: http://www.imf.org/external/pubs/ft/bop/2007/bopman6.htm
2See: http://elibrary-data.imf.org/
3Volume 1 of the Yearbook, published in 1949, was based on the
first edition of the Funds Balance of Payments Manual, issued in
1948; Volumes 2-12 were compiled pursuant to the second edition
of the Manual, issued in 1950; Volumes 13-23 were based on the
third edition of the Manual, issued in 1961; and Volumes 2429
were associated with that edition as well as the Balance of Payments
Manual: Supplement to Third Edition, issued in 1973. Volumes 30-45
followed the guidance of the fourth edition of the Manual, published in 1977. Volumes 46-62 were presented in accordance with
the standard components of the fifth edition of the Balance of Payments Manual (BPM5). However, the standard components
changed with the publication of Financial Derivatives, a Supplement to
the Fifth Edition (1993) of the Balance of Payments Manual, published
in 2000 and amended in 2002.

tics is maintained and enhanced through the parallel


update of the OECD Benchmark Definition of Foreign Direct Investment and the System of National Accounts.
Appendix 8 of the BPM6 and the BPM6 Conversion
Matrix4 describe the conceptual and presentational
changes from BPM5 in detail, including the change
of names of accounts (e.g., current transfers in
BPM5 is renamed secondary income in BPM6), the
arrangement of data in the accounts (e.g., direct investment data are presented on a directional principle basis under BPM5, whereas they are presented
on a strict asset/liability basis in the standard components of BPM6), and the values shown for accounts (e.g., goods that were temporarily sent
abroad for processing without any ownership
change were included in gross imports and exports
under BPM5, whereas only the processing fee is included under BPM6).
For many decades, the IMF has published data on
a basis that is consistent across countries and across
time periods. Such data consistency is required to
perform cross-country data comparisons, track
growth rates across time, and produce regional or
global data aggregates. The challenge is that, as with
the adoption of earlier versions of the IMFs Balance of
Payments Manual, countries are adopting BPM6 at different times. Data conversion work undertaken by
Fund staff has made possible the presentation in the
BPM6 format of data starting with 2005 for both
countries that reported data in BPM6 format and
countries who are still compiling their data in the format of BPM5. To present data on a consistent BPM6
presentational basis, STA worked closely with IMF
member countries. For each country, one of three approaches has been followed: (i) economies have implemented BPM6 and provided their own BPM6 estimates; (ii) economies have reported BPM5 data to
STA and opted for a generic conversion of their data
to a BPM6 basis using standard rules that are broad-ly
applicable to a large number of economies and over
time (see Box 1); or (iii) economies have opted for a
customized conversion of their BPM5 basis data, by
adjusting the results from the generic conversion in
consultation with the IMF. To assist users in understanding the impact of conversion to BPM6, as well as
in understanding major methodological changes from
BPM5 to BPM6, a set of frequently asked questions is
posted on the IMF webpage at http://www.imf.org/external/pubs/ft/bop/2007/bopman6.htm.

4See BPM6 Compilation Guide (Appendix 1) at http://www.imf.


org/external/pubs/ft/bop/2007/bop6comp.htm

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Box 1. Selected Main Rules Used for the Generic Conversion of BPM5 Data to BPM6

The balances on the Current account, Capital account and Financial account, Reserve assets, and Net errors and omissions were not changed.

Merchanting was reclassified from Services to Goods.

Manufacturing services on physical inputs owned by others (Goods for processing in


BPM5) was reclassified from Goods to Services. The gross values of goods that physically
moved across borders for processing but for which there was no change in ownership are
excluded from goods trade.

Repairs on goods was reclassified from goods to services (called Maintenance and repair
services n.i.e. in BPM6).

Goods procured in ports by carriers was included in General merchandise on a balance


of payments basis.

Communication services and Computer and information services from BPM5 were reclassified to Telecommunications, computer, and information services in BPM6.

Postal and courier services was included in Transport.

Migrants transfers was included in Other capital transfers financial corporation, nonfinancial corporations, households, and NPISHs. (Although migrants transfers should not
be included in the balance of payments accounts under BPM6, the elimination of this account was not possible without impacting net errors and omissions, which was avoided).

Reverse investment in Direct investment was reclassified according to the asset/liability


presentational basis.

In general, the data for Monetary authorities in BPM5 were mapped to Central bank. In
some instances, the data were mapped (in full or in part) to General government or other
institutional units in consultation with countries.

The use of signs in the balance of payments presentations was changed as follows: (i) in
current and capital accounts, both credits and debits, were registered with positive signs;
(ii) in financial account, increases in assets and increases in liabilities were registered with
positive signs, and decreases in assets and decreases in liabilities with negative signs.

For the IMF dissemination of data, consistent with long-time IMF practices, data provided
by the Finance Department of the IMF on SDR holdings, SDR allocations, and Reserve position in the IMF were substituted for reported data, if different.

The methodologies, compiling practices, and


data sources of reporting countries available
through eLibrary-Data and CD-ROM are based
on information provided to the Fund by countries. The descriptions are intended to enhance
user understanding of the coverage, as well as
the limitations, of individual country data. At the
same time, they are useful in informing compilers of data sources and practices used by their
counterparts in other countries. To facilitate
countries submission of metadata on balance of
vi

payments and IIP statistics, as applicable, for the


first time this year countries were able to submit
this information via online questionnaires.
This introduction is organized as follows:

Section I describes features of the tables published in Part 1 of this volume of


the Yearbook.

Section II offers information on the accessibility of the Funds balance of payments


data on CD-ROM and BOP Online.
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution


Section III contains six annexes: Annex I
shows an analytic presentation of balance of
payments (and related data codes) ; Annex II presents the standard components of the balance of
payments (and related data codes); Annex III
presents the standard components of the IIP (and
related data codes); Annex IV explains the data
coding scheme; Annex V describes the conceptual framework of the balance of payments and
IIP; and Annex VI explains the classification and
standard components of the balance of payments and IIP, as set forth in the BPM6.

I. Features of the Tables in Part 1 of the


Yearbook: Individual Country Data
Part 1 of the Yearbook presents the data pages alphabetically. Country in this publication does
not always refer to a territorial entity that is a state
as understood by international law and practice;
the term also covers some non-sovereign territorial
entities for which statistical data are provided internationally on a separate basis.
For each country, balance of payments data are
presented in both analytic and standard presentations. Balance of payments components in the analytic presentation (Table 1) are arrayed to highlight the financing items (the reserves and related
items). The standard presentation of the balance of
payments (Table 2) and of the IIP (Table 3) shows
data displayed in the standard components described in the BPM6.
Tables 1, 2, and 3 present reported data for the
years 20052011 for each country. Unless otherwise indicated, the tables present figures for calendar years.
Balance of Payments: Analytic Presentation

In the analytic presentation, shown in Table 1,


balance of payments components are classified into
five major data categories (groups A through E) that
the Fund regards as useful for analyzing balance of
payments developments uniformly; and transactions are reclassified from that shown in the standard components. The selected groups, however,
should not be considered to reflect the Funds recommendations about the analytic approach appropriate for every country. Other analytic presentations could be arrayed by regrouping the standard
components in other ways to take into account the
special circumstances of a specific country or to
serve particular analytical requirements.
The figures shown in the analytic and standard
presentations differ for balances of the current account, the capital account, and the financial account for some countries. This is because, in the analytic presentation, certain transactions under these

accounts are reclassified as reserves and related


items. The reclassified transactions are grouped
under reserve assets, credits and loans from the
IMF, and exceptional financing. Exceptional financing refers to transactions undertaken by the authorities to finance balance of payments needs, including such items as external borrowing, accumulation
and payment of arrears, and debt forgiveness. Exceptional financing excludes reserve assets, and
credit and loans from the IMF. (See also Annex I.)
Balance of Payments: Standard Presentation

The standard components of balance of payments, shown in the standard presentation in Table
2, are summarized under goods and services, primary income, and secondary income in current account, and also under the main standard components in the capital account. Under the financial
account, components are classified by functional
category (i.e., direct investment; portfolio investment; financial derivatives (other than reserves) and
employee stock options (ESOs); other investment;
and reserve assets), by type of financial instrument
(equity, debt, and other), separately for net acquisitions of financial assets and net incurrence of liabilities. Most of these financial account categories are
further classified by domestic sector (central bank;
deposit taking corporations, except the central
bank; general government; and other sectors (with
the latter containing of which: other financial corporations). (See also Annex II.)
International Investment Position

IIP data, as shown in Table 3, are arrayed in accordance with the standard components of the IIP
as set forth in the BPM6. (See also Annex III.)
IIP data reflect a countrys external financial assets
and liabilities at a specific point in time. The classification of the IIP components is consistent with
that of the financial account of the balance of payments. This consistency is necessary for a comprehensive analysis of relationships between them.
The financial transactions of the balance of payments and other flows (revaluations and other
changes in volume) show the contribution to
changes between the opening and closing positions
of the financial assets and liabilities recorded in the
IIP. In other words, financial assets and liabilities
gain or lose value and appear or disappear due to
balance of payments transactions, other volume
changes, and/or revaluation.
The net IIP is derived by taking the difference
between the value of external financial assets and
liabilities.
External debt is not a separate component of the
IIP but can be derived by summing the liability positions other than financial derivatives (other than

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

vii

reserves) and ESOs, equity and investment fund


shares, and other equity (these are not debt instruments according to international statistical standards).

and/or a net decrease in liabilities, while a positive


sign indicated a net increase in liabilities and/or a net
decrease in assets.

Data Codes

Negative signs

Tables 1, 2, and 3 show codes for each data category and component. The codes are designed for the
standard components of balance of payments and
IIP data as defined in the BPM6.

The conversion rule used in the generic conversion


for the reclassification of Manufacturing services on
physical inputs owned by others (Goods for processing in BPM5) from goods to services may have
generated negative values for these services for some
economies in a given period. This is the case when the
value of imports exceeds the value of exports in the
processing economy, or when the value of exports exceeds the value of imports in the partner economy.

There are nine digits/characters for each code


shown in the Yearbook. The first two positions designate the account, with the first number indicating
the main account, with1 assigned to the Current
Account, 2 to the Capital Account, 3 to the Financial Account, and 8 to the IIP. The second character indicates the sub account which the concept
refers to, for example: 1A Services, 1B Goods,
1C Primary Income, 1D Secondary Income, 3A
Direct Investment, 8A IIP Direct Investment. The
next four digits are used to classify balance of payments and IIP components. For example, the current
account is coded 10999, the capital account, 20999,
and the financial account, 30999. Readers may refer
to Annex IV for details of the coding scheme.
The sixth digit/character of the code shown in the
Yearbook denotes special features about specific data
components. In this position S indicates substitution of Fund accounts and F indicates the exclusion
of exceptional financing. The seventh digit indicates
the accounting unit where C is credit, D is debit,
B is balance, A is net acquisition of financial assets, L is net incurrence of liabilities and N is net.
The eighth digit represents the economic sectors.
The ninth digit represents maturity (on an original
maturity basis) where S is short-term, L is longterm, A is all maturities, and N is not applicable.
Sign convention

In both the analytic and standard presentations


(Tables 1 and 2), the transactions data are shown as
gross credit or gross debit entries in the current and
capital accounts, and as net acquisition of financial
assets or net incurrence of liabilities (to reflect net
changes in assets or net changes in liabilities) in the
financial account. In the current and capital accounts, both credit and debit entries are positive (but
without a plus sign). In the financial account, increases in assets and increases in liabilities are shown
as positive amounts (without a plus sign) and decreases in assets and decreases in liabilities are
shown as negative amounts. The current and capital
account balances are obtained as credits minus debits, and the financial account balance is calculated as
net acquisition of financial assets minus net incurrence of liabilities. A positive sign for the financial
account balance indicates a net increase in assets
viii

Nil, Unavailable Entries, or Confidential Data

In the Yearbook tables, dots (....) indicate that data


are either not available, zero or insignificant, or confidential. In cases where data for one or more given
subcomponent(s) cannot be revealed due to confidentiality reasons, the nondisclosed value(s) will be either
(i) added to a generic subcomponent (such as other)
within the relevant data component; or (ii) omitted
without adjusting a generic subcomponent. In either
instance, the reported total remains unchanged; therefore, in case (ii), it would be not equal to the sum of
the components.
Rounding of Figures

Most data in the tables are expressed in units of one


million. The unit is chosen to present the figures conveniently. Because of the calculation routines used,
rounding differences may occur between an aggregate
and the sum of its components.
Currency Conversion

The balance of payments and IIP data reported to


the Fund are expressed in national currencies, in U.S.
dollars, or in another currency. To facilitate comparisons among countries, all balance of payments and
IIP statements published in the Yearbook and in the
BOPS CD-ROM are expressed in U.S. dollars. In addition, all countries reported data on transactions
and positions with the Fund and transactions and
positions in SDRs are replaced with data obtained
from the Fund records, which are kept in SDRs. This
information is, in turn, converted to U.S. dollars.
For countries that do not report in U.S. dollars,
balance of payments data are converted using the
country conversion rates shown at the bottom of
Table 1. These rates are normally the average exchange rates for a country for the relevant year taken
from the International Financial Statistics (IFS). For example, the IFS pages for the Euro Area contain line
rf, giving average rates for euros per U.S. dollar.
Conversions of transactions data from SDRs into
U.S. dollars are made at the rates shown in line sb
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

of the IFS pages for the United States. For countries


reporting quarterly data in national currencies, annual U.S. dollar totals are obtained by aggregating
the quarterly U.S. dollar figures.
For countries that do not report IIP data in U.S.
dollars, data are converted using the country conversion rates shown at the bottom of Table 3. These
rates are normally the end-of-period exchange rates
for a country (line ae) for the relevant year taken
from IFS. More information on the exchange rates
used may be found in the introduction to IFS, Section
1, or on the IFS CD-ROM in the file entitled INT.rtf.

II. CD-ROM and Internet Versions


Statistics published in the Yearbook are also available on CD-ROM and on the Internet (Balance of

Payments Statistics OnlineBOP online). In this


electronic version, time series may be slightly larger
than that appearing in the printed version of the
Yearbook, as also may be the number of periods for
which data observations of time series are given.
Also, quarterly data reported by countries are available, and updates and revisions of the data are included as they become available. Inquiries about the
CD-ROM and BOP Online should be addressed to:
Publication Services
International Monetary Fund
Washington, D.C. 20431, U.S.A.
Telephone (202) 623-7430
Telefax (202) 623-7201
E-mail publications@imf.org
Internet http://www.imf.org

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ix

This page intentionally left blank

International Monetary Fund. Not for Redistribution

ANNEX I. ANALYTIC PRESENTATION OF BALANCE OF PAYMENTS


Data Codes
A. CURRENT ACCOUNT1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

10999FBXN

Goods, credit (exports) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Goods, debit (imports) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Balance on goods . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Services, credit (exports) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Services, debit (imports) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Balance on goods and services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Primary income: credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Primary income: debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Balance on goods, services, and primary income . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

1A9999CXN
1A9999DXN
1A9999BXN
1B9999CXN
1B9999DXN
1Z9999BXN
1C9999CXA
1C9999DXA
1Y9999BXN

Secondary income: credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Secondary income: debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

1D999FCAA
1D9999DAA

B. CAPITAL ACCOUNT1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

20999FBAA

Capital account: credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Capital account: debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Balance on current and capital account . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

20999FCAA
209999DAA
129999BAN

C. FINANCIAL ACCOUNT1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

30999FNAA

Direct investment: assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment: liabilities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Portfolio investment: assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt securities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Portfolio investment: liabilities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt securities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial derivatives and employee stock options (ESOs): net . . . . . . . . . . . . . . . . . .
Financial derivatives and ESOs: assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial derivatives and ESOs: liabilities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other investment: assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other equity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other investment: liabilities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other equity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Current + capital - financial account balance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

3A9999AAA
3AA000AAA
3AB000AAA
3A999FLAA
3AA00FLAA
3AB00FLAA
3B9999AAA
3BA000AAA
3BB000AAA
3B999FLAA
3BA00FLAA
3BB00FLAA
3C9999NAA
3C9999AAA
3C9999LAA
3D9999AAA
3DA000AAA
3DZ000AAA
3D999FLAA
3DA00FLAA
3DZ00FLAA
4Y999FNAA

D. NET ERRORS AND OMISSIONS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

40999SNAA

E.

RESERVES AND RELATED ITEMS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

4Z999SNAA

Reserve assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Credit and loans from the IMF . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Exceptional financing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

3E999SAAA
3DC0ZSLAA
4099E0LAN

Conversion rates: . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
1Excludes

RFZFB

components that have been classified in the categories of Group E.

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

xi

ANNEX II. STANDARD PRESENTATION OF BALANCE OF PAYMENTS


CURRENT ACCOUNT . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
GOODS AND SERVICES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Total credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Total debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
GOODS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
General merchandise: export . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Net exports of goods under merchanting . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Nonmonetary gold: export . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
General merchandise: import . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Nonmonetary gold: import . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
SERVICES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Total credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Total debit. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Manufacturing services on physical inputs owned by others, credit . . . . . . . . . . . . . . . . . .
Manufacturing services on physical inputs owned by others, debit . . . . . . . . . . . . . . . . . .
Maintenance and repair services n.i.e., credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Maintenance and repair services n.i.e., debit. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Transport, credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Passenger . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Freight . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other (including postal and courier) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Transport, debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Passenger . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Freight . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other (including postal and courier) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Travel, credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Business . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Personal. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Travel, debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Business . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Personal. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other services, credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Construction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Insurance and pension services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Charges for the use of intellectual property n.i.e. . . . . . . . . . . . . . . . . . . . . . . . . . . .
elecommunications, computer, and information services . . . . . . . . . . . . . . . . . . . . .
Other business services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Personal, cultural, and recreational services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Government goods and services n.i.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
xii

Data Codes
109999BXN
1Z9999BXN
1Z9999CXN
1Z9999DXN
1A9999BXN
1A9999CXN
1AA000CXN
1AB000BXN
1AC000CXN
1A9999DXN
1AA000DXN
1AC000DXN
1B9999BXN
1B9999CXN
1B9999DXN
1BA000CXN
1BA000DXN
1BB000CXN
1BB000DXN
1BC000CXN
1BC00ZCXN
1BC00YCXN
1BC00WCXN
1BC000DXN
1BC00ZDXN
1BC00YDXN
1BC00WDXN
1BD000CXN
1BD100CXN
1BD130CXN
1BD000DXN
1BD100DXN
1BD130DXN
1B999ZCXN
1BE000CXN
1BF000CXN
1BG000CXN
1BH000CXN
1BJ000CXN
1BK000CXN
1BL000CXN
1BM000CXN

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEX II. STANDARD PRESENTATION OF BALANCE OF PAYMENTS


Other services, debit. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Construction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Insurance and pension services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Charges for the use of intellectual property n.i.e. . . . . . . . . . . . . . . . . . . . . . . . . . . .
Telecommunications, computer, and information services . . . . . . . . . . . . . . . . . . . .
Other business services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Personal, cultural, and recreational services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Government goods and services n.i.e. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
PRIMARY INCOME . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Total credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Total debit. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Compensation of employees, credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Compensation of employees, debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investment income, credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment income . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Income on equity and investment fund shares. . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dividends and withdrawls from income of quasi-corporations . . . . . . . . . . . .
Reinvested earnings (direct investor in direct investment enterprises). . . . . . . .
Interest . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Portfolio investment income . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investment income on equity and investment fund shares . . . . . . . . . . . . . . . . . .
Dividends on equity excluding investment fund shares . . . . . . . . . . . . . . . . . .
Investment income attributable to investment fund shareholders . . . . . . . . . . .
Interest . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other investment income. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Withdrawals from income of quasi-corporations . . . . . . . . . . . . . . . . . . . . . . . . . .
Interest . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investment income attributable to policyholders in insurance, pension schemes
and standardized guarantee schemes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Income on reserve assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Income on equity and investment fund shares. . . . . . . . . . . . . . . . . . . . . . . . . . . .
Interest . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investment income, debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment income . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Income on equity and investment fund shares. . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dividends and withdrawls from income of quasi-corporations . . . . . . . . . . . .
Reinvested earnings (direct investor in direct investment enterprises). . . . . . . .
Interest . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Portfolio investment income . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investment income on equity and investment fund shares . . . . . . . . . . . . . . . . . .
Dividends on equity excluding investment fund shares . . . . . . . . . . . . . . . . . .
Income attributable to investment fund shareholders . . . . . . . . . . . . . . . . . . . .
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Data Codes
1B999ZDXN
1BE000DXN
1BF000DXN
1BG000DXN
1BH000DXN
1BJ000DXN
1BK000DXN
1BL000DXN
1BM000DXN
1C9999BXA
1C9999CXA
1C9999DXA
1CA000CXA
1CA000DXA
1CB000CXA
1CB100CXA
1CB110CXA
1CB111CXA
1CB112CXA
1CB120CXA
1CB200CXA
1CB210CXA
1CB211CXA
1CB212CXA
1CB220CXA
1CB300CXA
1CB310CXA
1CB320CXA
1CB330CXA
1CB400CXA
1CB410CXA
1CB420CXA
1CB000DXA
1CB100DXA
1CB110DXA
1CB111DXA
1CB112DXA
1CB120DXA
1CB200DXA
1CB210DXA
1CB211DXA
1CB212DXA
xiii

ANNEX II. STANDARD PRESENTATION OF BALANCE OF PAYMENTS


Interest . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other investment income. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Withdrawals from income of quasi-corporations . . . . . . . . . . . . . . . . . . . . . . . . . .
Interest . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investment income attributable to policyholders in insurance, pension schemes
and standardized guarantee schemes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other primary income, credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other primary income, debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
SECONDARY INCOME . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial corporations, nonfinancial corporations, households, and NPISHs . . . . .
Personal transfers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other current transfers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial corporations, nonfinancial corporations, households, and NPISHs . . . . .
Personal transfers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other current transfers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

xiv

Data Codes
1CB220DXA
1CB300DXA
1CB310DXA
1CB320DXA
1CB330DXA
1CC000CXA
1CC000DXA
1D9999BAA
1D9999CAA
1D9999CGA
1D9999COA
1DF000COA
1DG000COA
1D9999DAA
1D9999DGA
1D9999DOA
1DF000DOA
1DG000DOA

CAPITAL ACCOUNT . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Gross disposals of nonproduced nonfinancial assets, credit . . . . . . . . . . . . . . . . . . . . . . . . . .
Gross acquisitions of nonproduced nonfinancial assets, debit . . . . . . . . . . . . . . . . . . . . . . . .
Capital transfers, credit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt forgiveness . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other capital transfers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial corporations, nonfinancial corporations, households, and NPISHs . . . . . . .
Capital transfers, debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt forgiveness . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other capital transfers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial corporations, nonfinancial corporations, households, and NPISHs . . . . . . .

209999BAA
20A000CAA
20A000DAA
20A100CAA
20A100CGA
20A110CGA
20A120CGA
20A100COA
20A100DAA
20A100DGA
20A110DGA
20A120DGA
20A100DOA

FINANCIAL ACCOUNT. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
DIRECT INVESTMENT . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Net acquisition of financial assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity other than reinvestment of earnings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investor in direct investment enterprises . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment enterprises in direct investor (reverse investment) . . . . . . . . .
Between fellow enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Reinvested earnings (direct investor in direct investment enterprises). . . . . . . . . .

30999SNAA
3A9999NAA
3A9999AAA
3AA000AAA
3AA100AAA
3AA110AAA
3AA120AAA
3AA130AAA
3AA200AAA

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEX II. STANDARD PRESENTATION OF BALANCE OF PAYMENTS


Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Direct investor in direct investment enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Direct investment enterprises in direct investor (reverse investment) . . . . . . . . . . . .
Between fellow enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Net incurrence of liabilities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity other than reinvestment of earnings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investor in direct investment enterprises . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment enterprises in direct investor (reverse investment) . . . . . . . .
Between fellow enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Reinvested earnings (direct investor in direct investment enterprises). . . . . . . . . .
Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investor in direct investment enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment enterprises in direct investor (reverse investment) . . . . . . . . . . . .
Between fellow enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
PORTFOLIO INVESTMENT . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Net acquisition of financial assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt securities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Net incurrence of liabilities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt securities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Data Codes
3AB000AAA
3AB100AAA
3AB200AAA
3AB300AAA
3A9999LAA
3AA000LAA
3AA100LAA
3AA110LAA
3AA120LAA
3AA130LAA
3AA200LAA
3AB000LAA
3AB100LAA
3AB200LAA
3AB300LAA
3B9999NAA
3B9999AAA
3BA000AAA
3BA000ACA
3BA000ADA
3BA000AGA
3BA000AOA
3BA000AFA
3BB000AAA
3BB000ACA
3BB000ADA
3BB000AGA
3BB000AOA
3BB000AFA
3B9999LAA
3BA000LAA
3BA000LCA
3BA000LDA
3BA000LGA
3BA000LOA
3BA000LFA
3BB000LAA
3BB000LCA
3BB000LDA
3BB000LGA
3BB000LOA
3BB000LFA

xv

ANNEX II. STANDARD PRESENTATION OF BALANCE OF PAYMENTS


FINANCIAL DERIVATIVES (OTHER THAN RESERVES) and EMPLOYEE STOCK OPTIONS . . . . . . . .
Net acquisition of financial assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Net incurrence of liabilities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
OTHER INVESTMENT . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Net acquisition of financial assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other equity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Net incurrence of liabilities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other equity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Special drawing rights (allocations). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
RESERVE ASSETS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Monetary gold . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Special drawing rights . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Reserve position in the IMF . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other reserve assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
NET ERRORS AND OMISSIONS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

xvi

Data Codes
3C9999NAA
3C9999AAA
3C9999LAA
3D999SNAA
3D9999AAA
3DA000AAA
3DZ000AAA
3DZ000ACA
3DZ000ADA
3DZ000AGA
3DZ000AOA
3DZ000AFA
3D999SLAA
3DA000LAA
3DG00SLAA
3DY00SLAA
3DY00SLCA
3DY000LDA
3DY00SLGA
3DY000LOA
3DY000LFA
3E999SAAA
3EA000AAA
3EB00SAAA
3EC00SAAA
3ED000AAA
40999SNAA

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEX III. STANDARD COMPONENTS OF THE INTERNATIONAL


INVESTMENT POSITION
Data Codes
ASSETS

.................................................................
Direct investment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investor in direct investment enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment enterprises in direct investor (reverse investment) . . . . . . . . . . . .
Between fellow enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investor in direct investment enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment enterprises in direct investor (reverse investment) . . . . . . . . . . . .
Between fellow enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Portfolio investment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt securities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial derivatives (other than reserves) and employee stock options. . . . . . . . . . . . . . . . .
Other investment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other equity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Reserve assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Monetary gold . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Special drawing rights . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Reserve position in the IMF . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other reserve assets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

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80999SAAA
8A9999AAA
8AA000AAA
8AA100AAA
8AA200AAA
8AA300AAA
8AB000AAA
8AB100AAA
8AB200AAA
8AB300AAA
8B9999AAA
8BA000AAA
8BA000ACA
8BA000ADA
8BA000AGA
8BA000AOA
8BA000AFA
8BB000AAA
8BB000ACA
8BB000ADA
8BB000AGA
8BB000AOA
8BB000AFA
8C9999AAA
8D9999AAA
8DA000AAA
8DZ000AAA
8DZ000ACA
8DZ000ADA
8DZ000AGA
8DZ000AOA
8DZ000AFA
8E999SAAA
8EA000AAA
8EB00SAAA
8EC00SAAA
8ED000AAA

xvii

ANNEX III. STANDARD COMPONENTS OF THE INTERNATIONAL


INVESTMENT POSITION
Data Codes
LIABILITIES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investor in direct investment enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment enterprises in direct investor (reverse investment) . . . . . . . . . . . .
Between fellow enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt instruments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investor in direct investment enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Direct investment enterprises in direct investor (reverse investment) . . . . . . . . . . . .
Between fellow enterprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Portfolio investment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Equity and investment fund shares . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Debt securities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financial derivatives (other than reserves) and employee stock options. . . . . . . . . . . . . . . . .
Other investment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other equity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Special drawing rights (allocations) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other debt instruments. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Central bank . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Deposit-taking corporations, except the central bank . . . . . . . . . . . . . . . . . . . . . . . .
General government . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Other sectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
of which: Other financial corporations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

80999SLAA
8A9999LAA
8AA000LAA
8AA100LAA
8AA200LAA
8AA300LAA
8AB000LAA
8AB100LAA
8AB200LAA
8AB300LAA
8B9999LAA
8BA000LAA
8BA000LCA
8BA000LDA
8BA000LGA
8BA000LOA
8BA000LFA
8BB000LAA
8BB000LCA
8BB000LDA
8BB000LGA
8BB000LOA
8BB000LFA
8C9999LAA
8D999SLAA
8DA000LAA
8DG00SLAA
8DY00SLAA
8DY00SLCA
8DY000LDA
8DY00SLGA
8DY000LOA
8DY000LFA

NET INTERNATIONAL INVESTMENT POSITION . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Conversion rates: . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

80999SNAA
AEZFB

xviii

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ANNEX IV. IMF CODING SYSTEM FOR BALANCE OF PAYMENTS


AND INTERNATIONAL INVESTMENT POSITION
The coding structure consists of the following five segments with a fixed length.
<aggregate> two-digits: The first digit identifies the account that the series falls under (e.g., current account, capital account, financial account or international investment position). The second digit identifies the section that
the series falls under within the account.
<BOP item> 4 digits: This identifies all the standard components, and selected supplementary information components.
<position> one-digit: This identifies the accounting unit associated with the measurement of value for the concept.
<resident sector> one-digit: This identifies the domestic sector associated with the concept.
<maturity> one-digit: This identifies the length of maturity for the concept where applicable.
The code requires all five segments and takes the form <aggregate><BOP item><position><resident sector><maturity>.

Code

Aggregate in balance of payments and international investment position (IIP)

10

Current Account

1Z

Goods and Services

1A

Goods

1B

Services

1C

Primary income

1D

Secondary income

20

Capital Account

30

Financial Account

3A

Direct Investment

3B

Portfolio Investment

3C

Financial Derivatives (other than reserves) and Employee Stock Options

3D

Other Investment

3E

Reserve Assets

4Y

Current, Capital and Financial Balance Item

40

Net Errors and Omissions

4Z

Reserve and Related Items

80

Assets/Liabilities (IIP)

8A

Direct Investment (IIP)

8B

Portfolio Investment (IIP)

8C

Financial Derivatives (other than reserves) and Employee Stock Options (IIP)

8D

Other Investment (IIP)

8E

Reserve Assets (IIP)

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xix

ANNEX IV. IMF CODING SYSTEM FOR BALANCE OF PAYMENTS


AND INTERNATIONAL INVESTMENT POSITION (concluded)
Examples of the codes for Other investment of the financial account are shown below.

Other investment

3D9999NAA

Net acquisition of financial assets

3D9999AAA

Net incurrence of liabilities

3D9999LAA

Other equity

3DA000NAA

Net acquisition of financial assets

3DA000AAA

Net incurrence of liabilities

3DA000LAA

Currency and deposits

3DB000NAA

Net acquisition of financial assets


Central banks

3DB000ACA

Short-term

3DB000ACS

Long-term

3DB000ACL

Monetary authorities (where relevant)

xx

3DB000AAA

3DB000AMA

Short-term

3DB000AMS

Long-term

3DB000AML

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ANNEX V. CONCEPTUAL FRAMEWORK OF THE BALANCE OF PAYMENTS


AND INTERNATIONAL INVESTMENT POSITION
This annex is reproduced and summarized from the BPM6.
Paragraphs and chapters cited in this Annex refer to those that appear in the BPM6; to clarify this point, the abbreviation BPM6 is
added to the quoted text before each reference to a specific BPM6
paragraph or chapter. An [] indicates that only part of the paragraph is quoted here.

two entries and the sum of the credit entries and the
sum of the debit entries is the same. []
2.13 The different accounts within the balance of payments are distinguished according to the nature of the
economic resources provided and received.

Flows and Positions

Overall framework
2.2 The international accounts for an economy summarize the economic relationships between residents of that
economy and nonresidents. They comprise the following:
(a) the international investment position (IIP)a statement that shows at a point in time the value of financial
assets of residents of an economy that are claims on nonresidents or are gold bullion held as reserve assets; and
the liabilities of residents of an economy to nonresidents;
(b) the balance of paymentsa statement that summarizes economic transactions between residents and nonresidents during a specific time period; and
(c) the other changes in financial assets and liabilities accountsa statement that shows other flows, such as valuation changes, that reconciles the balance of payments
and IIP for a specific period, by showing changes due to
economic events other than transactions between residents and nonresidents.
2.3 The international accounts provide an integrated
framework for the analysis of an economys international
economic relationships, including its international economic performance, exchange rate policy, reserves management, and external vulnerability. A detailed study of
the use of international accounts data is provided in
BPM6, Chapter 14, Selected Issues in Balance of Payments and International Investment Position Analysis.

International investment position


2.8 The IIP is a statistical statement that shows at a point in time
the value of financial assets of residents of an economy that are
claims on nonresidents or are gold bullion held as reserve assets;
and the liabilities of residents of an economy to nonresidents. The
difference between the assets and liabilities is the net position in the IIP and represents either a net claim on or a
net liability to the rest of the world.

Balance of payments
2.12 The balance of payments is a statistical statement that
summarizes transactions between residents and nonresidents
during a period. It consists of the goods and services account, the
primary income account, the secondary income account, the capital account, and the financial account. Under the doubleentry accounting system that underlies the balance of
payments, each transaction is recorded as consisting of

3.2 Flows refer to economic actions and effects of events within an


accounting period, and positions refer to a level of assets or liabilities at a point in time. International flows are recorded in the
accounts as transactions (balance of payments) and other
changes in financial assets and liabilities account. Flows
and positions are integrated so that all changes in positions between two points in time are fully explained by
the recorded flows. Positions and flows of financial assets
and liabilities are grouped according to the functional and
instrument classifications of financial assets and liabilities.
Nonfinancial transactions are generally grouped according to their nature and characteristics. Positions of external financial assets and liabilities are shown in the international investment position.[]

Flows
3.3 Flows reflect the creation, transformation, exchange, transfer,
or extinction of economic value; they involve changes in the volume,
composition, or value of an institutional units assets and liabilities.
This classification is the basis for the flow accounts, as
discussed in BPM6, Chapters 813. Flows also can be
classified into (a) those that are associated with transactions and (b) other flows.

a.

Transactions

3.4 A transaction is an interaction between two institutional units


that occurs by mutual agreement or through the operation of the
law and involves an exchange of value or a transfer. Transactions are classified according to the nature of the economic value providednamely, goods or services, primary income, secondary income, capital transfers,
nonproduced nonfinancial assets, financial assets, or liabilities. Chapters 8 and 1013 deal with transactions.
Mutual agreement means that there is prior knowledge
and consent by the institutional units. Transactions imposed by force of law are applicable mainly to certain
distributive transactions, such as the payment of taxes,
fines, and penalties. Although taxes or penalties are imposed on individual institutional units by administrative
or judicial decisions, there is collective recognition and
acceptance by the community of the obligation to pay
taxes and penalties. Because of the exchange of value, a
transaction consists of two economic flows, one in each
directionfor example, goods supplied by one party in
return for currency supplied by the other. The definition
is extended to cover actions within an institutional unit
that are analytically useful to treat as transactions, often
because the unit is operating in two different capacities,

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ANNEX V. CONCEPTUAL FRAMEWORK OF THE BALANCE OF PAYMENTS


AND INTERNATIONAL INVESTMENT POSITION (continued)
such as where one part operates as a branch. The definition is also extended to cover unrequited transfers, by the
identification of transfers as the corresponding flow to
the economic value supplied. Transactions recorded in
the international accounts are between two institutional
units, one a resident of the compiling economy and the
other a nonresident.

Types of transactions
3.12 Transactions take many different forms. Transactions can be classified according to whether they are exchanges or transfers (see BPM6, paragraph 3.13) and
whether they are monetary or nonmonetary (see BPM6,
paragraph 3.14). Furthermore, certain transactions are rearranged through rerouting and partitioning (see BPM6,
paragraphs 3.163.17), whereas other transactions may be
imputed to reflect the underlying economic relationship
(see BPM6, paragraph 3.18). []

b.

Other flows

3.19 Other flows are changes in the volume, value, or classification of an asset or liability that do not result from a transaction between a resident and a nonresident. Other flows are genuine
economic phenomena and capture changes in assets and
liabilities between opening and closing positions that are
not due to transactions. In the context of international accounts, other flows are recorded only for financial assets
and liabilities that represent claims on and liabilities to
nonresidents and gold bullion (see BPM6, paragraph
3.24), because the international investment position relates only to external financial assets and liabilities.
3.20 Other flows cover various kinds of changes in assets
and liabilities that are recognized analytically under two
broad types:
(a) Other changes in the volume of assets and liabilities reflect entrances of new assets into balance sheets and exits of existing assets
and liabilities from balance sheets that are not caused by interactions
by mutual agreement between institutional units (i.e., transactions).
(b) Revaluations (holding gains and losses) on an asset or liability arise from changes in their prices and/or the exchange rates. In
international accounts, revaluations are further classified
into those that are due to exchange rate changes and those
that are due to other price changes.

Positions
3.23 Positions refer to the level of financial assets or liabilities at a
point in time. They are recorded in the international investment position. Generally, positions are shown at the beginning and end of an accounting period. Positions between two periods are connected with flows during that
period because changes in positions are caused by transactions and other flows.
xxii

3.24 Financial assets are economic assets that are financial


instruments. Financial assets include financial claims and,
by convention, monetary gold held in the form of gold
bullion (including gold held in allocated gold accounts). A
financial claim is a financial instrument that has a counterpart liability. Gold bullion is not a claim and does not have
a corresponding liability. It is treated as a financial asset,
however, because of its special role as a means of financial
exchange in international payments by monetary authorities and as a reserve asset held by monetary authorities.
3.25 The international investment position covers financial
assets and liabilities that have an international character. All
financial claims involve two parties, so they have an international character if the claim is on a nonresident. Similarly,
all liabilities involve two parties, so they have an international character if the obligation is to a nonresident. The international investment position is described in Chapter 7.

Accounting System
3.26 The accounting system underlying the international
accounts derives from broad bookkeeping principles. To
understand the accounting system for international accounts, three bookkeeping principles can be distinguished:
(a) vertical double-entry bookkeeping (also known in
business accounting as simply double-entry bookkeeping);
(b) horizontal double-entry bookkeeping; and
(c) quadruple-entry bookkeeping.

Vertical double-entry bookkeeping


corresponding entries
3.27 The main characteristic of vertical double-entry
bookkeeping is that each transaction leads to at least
two corresponding entries, traditionally referred to as a
credit entry and a debit entry, in the books of the transactor. The international accounts for an economy are to
be compiled on a vertical double-entry bookkeeping
basis from the perspective of the residents of that economy. Because each transaction is either an exchange or a
transfer, it requires two entries. This principle ensures
that the total of all credit entries and that of all debit entries for all transactions are equal, thus permitting a
check on consistency of accounts for a single unit. Reclassifications also lead to debit and credit entries. Other
flows have their corresponding entries directly in
changes in net worth. As a result, vertical double-entry
bookkeeping ensures the fundamental identity of a
units balance sheet, that is, the total value of assets
equals the total value of liabilities plus net worth. The
total value of the assets owned by an entity minus the
total value of liabilities provides net worth. In the international accounts, net IIP provides a measure of net
financial claims with nonresidents plus gold bullion held
as monetary gold. These terms are discussed in BPM6,
paragraphs 7.17.2.
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ANNEX V. CONCEPTUAL FRAMEWORK OF THE BALANCE OF PAYMENTS


AND INTERNATIONAL INVESTMENT POSITION (continued)
Horizontal double-entry bookkeeping
counterpart entries
3.28 The concept of horizontal double-entry bookkeeping is useful for compiling accounts that reflect the mutual economic relationships between different institutional units in a consistent way. It means that if unit A
provides something to unit B, the accounts of both A and
B show the transaction for the same amount: as a payment in As account and as a receipt in Bs account. Horizontal double-entry bookkeeping ensures the consistency of recording for each transaction category by
counterparties. For example, at the worldwide level, dividends payable by all economies should be equal to dividends receivable by all economies.

Quadruple-entry bookkeeping
3.29 The simultaneous application of both the vertical
and horizontal double-entry bookkeeping results in a
quadruple-entry bookkeeping, which is the accounting
system underlying the recording of transactions in the national accounts and international accounts. Additionally,
definitions, classifications, and accounting principles in
the international accounts are derived from the viewpoint
of conceptual symmetry as well as symmetric reporting
by partner economies. The quadruple-entry system deals
in a coherent way with multiple transactors or groups of
transactors, each of which practices vertical double-entry
bookkeeping. A single transaction between two counterparties thus gives rise to four entries. In contrast to business bookkeeping, international accounts deal with interactions among a multitude of units in parallel and thus
require special care from a consistency point of view. As
a liability of one unit is mirrored in a financial asset of another unit, for instance, they should be identically valued,
allocated in time, and classified to avoid inconsistencies in
aggregating balance sheets of units into regional or global
totals. The same is also true for all transactions and other
flows that affect balance sheets of two counterparties.
The quadruple approach to transactions in the international accounts is needed for bilateral comparisons and
global integrated data.

Types of accounting entries


3.30 The international accounts use the following conventions and terminologies for recording flows. In the
current and capital accounts, a credit denotes entries from
exports, primary income receivable, transfers receivable,
and disposals of nonproduced nonfinancial assets. A debit
is used to record entries for imports, primary income
payable, transfers payable, and acquisitions of nonproduced nonfinancial assets.
3.31 In the case of transactions in financial assets and liabilities, the terms net acquisition of financial assets and
net incurrence of liabilities are used. Financial account
items are recorded on a net basis separately for each financial asset and liability (i.e., they reflect changes due to

all credit and debit entries during an accounting period).


The use of the terms net acquisition of financial assets
and net incurrence of liabilities highlights the impact of
the financial account on the international investment position. The use of these terms also simplifies the interpretation of data. A positive change indicates an increase in
assets or liabilities and a negative change indicates a decrease in assets or liabilities. The interpretation of increase
or decrease under the credit or debit notion, however, depends on whether the increase or decrease refers to assets
or liabilities (a debit for an asset is an increase; a debit for
a liability is a decrease). Although the debit and credit presentation is not emphasized for the financial account
transactions, it is important to recognize and maintain the
accounting identities. For example, a credit is always conceptually matched with a corresponding debit, the latter
relating to either an increase in an asset or a reduction in
a liability (see BPM6, Box 2.1). []

Principles for Time of Recording and Valuation


3.39 The BPM6 recommends use of the accrual basis for
determining the time of recording of flows. The accrual
basis matches the time of recording with the timing of the
events giving rise to the actual resource flows. With the
cash basis, the time of recording would potentially diverge significantly from the time of the economic activities and transactions to which the cash flows relate. The
due-for-payment basis would usually record transactions
after the resource flows have taken place, although the
long delays caused by the cash basis would, in most
cases, be reduced. The timing of the commitment basis
would precede the actual resource flows.
3.40 The accrual basis provides the most comprehensive
information because all resource flows are recorded, including nonmonetary transactions, imputed transactions,
and other flows. Such a comprehensive recording ensures
the integration of flows and changes in balance sheets.
The accrual basis is consistent with the way transactions,
other flows, and main economic aggregates (balance on
goods and services, net lending/net borrowing) are defined. It is also close to business accounting.

Time of recording
a.

Time of recording of transactions

3.41 The change of economic ownership is central in determining the time of recording on an accrual basis for
transactions in goods, nonproduced nonfinancial assets,
and financial assets. The term economic ownership reflects the underlying reality economic accounts are attempting to measure. Economic ownership takes account
of where the risks and rewards of ownership lie. The concepts of economic ownership and associated risks and rewards are further elaborated in BPM6, paragraph 5.3. A
change in ownership from an economic point of view
means that all risks, rewards, and rights and responsibilities of ownership in practice are transferred. In general, a

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ANNEX V. CONCEPTUAL FRAMEWORK OF THE BALANCE OF PAYMENTS


AND INTERNATIONAL INVESTMENT POSITION (continued)
change in legal ownership also involves a change in economic ownership. In some cases, a change of economic
ownership takes place even though the legal ownership
remains unchanged (e.g., financial leases and transactions
between an enterprise and its foreign branches). In other
cases, there is no change in economic ownership, even
though there is a change in legal ownership. []

exclusively in a purely competitive market situation. In


fact, a market transaction could take place in a monopolistic, monopsonistic, or any other market structure. Indeed, the market may be so narrow that it consists of the
sole transaction of its kind between independent parties.

3.42 Entries for transactions in goods, nonproduced nonfinancial assets, and financial assets owned by institutional units are made at the time economic ownership of
the underlying asset is transferred. When a change in economic ownership is not obvious, the change is considered
to occur at (or is proxied by) the time the parties to the
transaction record it in their books or accounts.

3.81 Other flows in the international accounts capture


changes in the IIP of financial assets and liabilities that are
not due to transactions. Holding gains and losses arise
from changes in market values of positions of financial assets and liabilities. Holding gains and losses may accrue
continuously. A holding gain occurs when an asset increases in value or a liability decreases in value; a holding
loss occurs when an asset decreases in value or a liability
increases in value. The value of holding gains and losses
during an accounting period shows net holding gains or
losses for assets and liabilities separately. In practice, the
value of holding gains and losses are calculated for each
asset and liability between two points in time: the beginning of the period (or when the asset or liability is acquired or incurred) and the end of the period (or when the
asset or liability is sold or extinguished).

b.

Time of recording of other flows

3.60 Other flows include other changes in the volume of


assets and revaluations. Other changes in the volume of
assets are usually discrete events that accrue at precise
moments or within fairly short periods of time. Other
changes in the volume of assets, including reclassifications, are recorded as these changes occur. Revaluations
can occur continuously as prices and exchange rates
change. In practice, revaluations are usually computed between two points in time at which the relevant assets and
liabilities are valued.

Valuation
3.67 Market prices refer to current exchange value, that is, the
values at which goods and other assets, services, and labors are
exchanged or else could be exchanged for cash. Market prices
are the basis for valuation in the international accounts.
This section describes the general principles for valuation
of flows and positions. Valuation of specific types of
flows and positions are discussed in further detail in relevant chapters of BPM6.

a.

Valuation of transactions

3.68 Market prices for transactions are defined as amounts of


money that willing buyers pay to acquire something from willing
sellers; the exchanges are made between independent parties and on the basis of commercial considerations only
sometimes called at arms length. Thus, according to
this strict definition, a market price refers only to the price
for one specific exchange under the stated conditions. A
second exchange of an identical unit, even under circumstances that are the same, could result in a different market price. A market price defined in this way is to be
clearly distinguished from a price quoted in the market, a
world market price, a going price, a fair market price, or
any price that is intended to express the generality of
prices for a class of supposedly identical exchanges rather
than a price actually applying to a specific exchange. Furthermore, a market price should not necessarily be construed as equivalent to a free market pricethat is, a market transaction should not be interpreted as occurring
xxiv

b.

Valuation of other flows

3.83 Other changes in the volume of financial assets and


liabilities are recorded at the market-equivalent prices of
similar instruments. When writing off financial instruments that are valued at nominal values, the value
recorded in the other changes in financial assets and liabilities account should correspond to their nominal value
prior to being written off. For all reclassifications of assets
and liabilities, values of both the new and old instruments
should be the same.

c.

Valuation of positions of financial


assets and liabilities

3.84 Positions of financial assets and liabilities should, in general,


be valued as if they were acquired in market transactions on the
balance sheet reporting date. Many financial assets are traded
in markets on a regular basis and therefore can be valued
by directly using the price quotations from these markets.
If the financial markets are closed on the balance sheet
date, the market prices that should be used in the valuation are those that prevailed on the closest preceding date
when the markets were open. Debt securities have a current market value as well as a nominal value, and for some
purposes, supplementary data on the nominal values of
positions of debt securities may be useful (see BPM6,
paragraph 3.88 for definition of nominal value).
3.85 Valuation according to the market-value equivalent
is needed for valuing financial assets and liabilities that are
not traded in financial markets or that are traded only infrequently. For these assets and liabilities, it will be necessary to estimate fair values that, in effect, approximate
market prices. The present value of future cash flows also
may be used as an approximation to market prices provided an appropriate discount rate can be used.
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ANNEX V. CONCEPTUAL FRAMEWORK OF THE BALANCE OF PAYMENTS


AND INTERNATIONAL INVESTMENT POSITION (continued)
Economic Territory
4.3 In its broadest sense, an economic territory
can be any geographic area or jurisdiction for
which statistics are required. The connection of
entities to a particular economic territory is determined from aspects such as physical presence and
being subject to the jurisdiction of the government
of the territory. These issues are discussed in the
residence section of this chapter (see BPM6, paragraphs 4.1134.144).
4.4 The most commonly used concept of economic territory is the area under the effective economic control of a single government. For the purposes of global statistics and reporting to the IMF,
it is important to have data on all areas under control of a particular government, including special
zones, even if for some of the governments own
statistical purposes, those zones are excluded or
shown separately. Another kind of economic territory is a currency or economic union, which is
dealt with in BPM6, Appendix 3. Other types of
economic territory include a part of an economy,
regions, or the world as a whole. Economic territories reflect any possible scope for macroeconomic
policy or analysis.
4.5 The economic territory includes:
(a) the land area;
(b) airspace;
(c) territorial waters, including areas over which
jurisdiction is exercised over fishing rights and
rights to fuels or minerals;
(d) in a maritime territory, islands that belong to
the territory; and
(e) territorial enclaves in the rest of the world.
These are clearly demarcated land areas (such as
embassies, consulates, military bases, scientific stations, information or immigration offices, aid agencies, central bank representative offices with diplomatic status) that are physically located in other
territories and used by governments that own or
rent them for diplomatic, military, scientific, or
other purposes with the formal agreement of governments of the territories where the land areas are
physically located. These areas may be shared with
other organizations, but the operations must have a
high degree of exemption from local laws to be
treated as an enclave. However, government operations that are fully subject to the laws of the host
economy are not treated as enclaves, but as residents of the host economy.

4.6 Economic territory has the dimensions of legal


jurisdiction as well as physical location, so that corporations created under the law are part of that
economy. The concepts of economic territory and
residence are designed to ensure that each institutional unit is a resident of a single economic territory. The use of an economic territory as the scope
of economic statistics means that each member of a
group of affiliated enterprises is part of the economy in which it is resident, rather than being attributed to the economy of its head office. The focus
on data for an economic territory means that, in a
few cases, a legal entity may be split for statistical
purposes into separate units in different territories,
as elaborated in BPM6, paragraphs 4.264.49.

Definition of an economy
4.11 An economy consists of all the institutional units that
are resident in a particular economic territory. []

Units
4.13 The main attributes of an institutional unit are that:
(a) it is entitled to own goods or assets in its own
right; it is, therefore, able to exchange the ownership of goods or assets in transactions with other institutional units.
(b) it is able to take economic decisions and engage in economic activities for which it is itself held
to be directly responsible and accountable at law.
(c) it is able to incur liabilities on its own behalf, to
take on other obligations or future commitments,
and to enter into contracts.
(d) either a complete set of accounts, including a
balance sheet, exists for the unit, or it would be possible and meaningful, from both an economic and
legal viewpoint, to compile a complete set of accounts if they were to be required.
Institutional units are recognized in the cases of
branches and notional resident units (as discussed
in BPM6, paragraphs 4.264.44) even though they
may not fully satisfy criteria (a), (b), and (c).
4.14 There are two main types of units in the real
world that may qualify as institutional units:
(a) householdspersons or groups of persons; and
(b) corporations (including quasi-corporations),
nonprofit institutions, and government unitslegal
or social entities whose existence is recognized by
law or society independently of the persons, or
other entities, that may own or control them.

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xxv

ANNEX VI. CLASSIFICATION AND STANDARD COMPONENTS


OF THE BALANCE OF PAYMENTS AND IIP
Standard components and memorandum items
1.15 A list of standard items for presenting and reporting the balance of payments and IIP is given in
BPM6, Appendix 9. Standard items consist of standard components and memorandum items.
(a) Standard components are items that are fully part of the
framework and contribute to the totals and balancing items.
(b) Memorandum items are part of the standard presentation, but are not used in deriving totals and balancing items. []
In addition,
(c) Supplementary items are outside the standard presentation, but are compiled depending on circumstances in the
particular economy, taking into account the interests of
policymakers and analysts as well as resource costs
(see the items in italics in BPM6, Appendix 9).

Major and Detailed Classification


2.13 The different accounts within the balance of
payments are distinguished according to the nature
of the economic resources provided and received.

Current account
2.14 The current account shows flows of goods, services,
primary income, and secondary income between residents
and nonresidents. The current account is an important grouping of accounts within the balance
of payments. []
2.15 The balance on these accounts is known as the
current account balance. The current account balance shows the difference between the sum of exports and income receivable and the sum of imports
and income payable (exports and imports refer to
both goods and services, while income refers to
both primary and secondary income). As shown in
BPM6, Chapter 14, Selected Issues in Balance of
Payments and International Investment Position
Analysis, the value of the current account balance
equals the saving-investment gap for the economy.
Thus, the current account balance is related to understanding domestic transactions.

Goods and services account


10.1 The goods and services account shows transactions in
items that are outcomes of production activities.

Goods
1. General merchandise
10.13 General merchandise on a balance of payments
basis covers goods whose economic ownership is changed
between a resident and a nonresident and that are not inxxvi

cluded in the following specific categories: goods under merchanting (see BPM6, paragraphs 10.41 10.49), nonmonetary gold (BPM6, paragraphs 10.5010.54), and
parts of travel (BPM6, paragraph 10.94), construction
(BPM6, paragraph 10.101), and government goods and
services n.i.e. (BPM6, paragraph 10.173).

2. Other goods
a.

Goods under merchanting

10.41 Merchanting is defined as the purchase of goods by


a resident (of the compiling economy) from a nonresident
combined with the subsequent resale of the same goods to
another nonresident without the goods being present in the
compiling economy. Merchanting occurs for transactions involving goods where physical possession of
the goods by the owner is unnecessary for the
process to occur. []

b. Nonmonetary gold
10.50 Nonmonetary gold covers all gold other than
monetary gold. Monetary gold, as defined in BPM6,
paragraphs 5.745.75, is owned by monetary authorities and held as a reserve asset. Nonmonetary
gold can be in the form of bullion (i.e., gold bullion
takes the form of coins, ingots, or bars with a purity
of at least 995 parts per 1,000, including such gold
held in allocated gold accounts), gold powder, and
gold in other unwrought or semi manufactured
forms. Jewelry, watches, and so forth that contain
gold are included under general merchandise, not
nonmonetary gold. []

Services
a.

Manufacturing services on physical


input owned by others

10.62 Manufacturing services on physical inputs owned


by others cover processing, assembly, labeling, packing,
and so forth undertaken by enterprises that do not own the
goods concerned. The manufacturing is undertaken by
an entity that does not own the goods and that is
paid a fee by the owner. In these cases, the ownership of the goods does not change, so no general
merchandise transaction is recorded between the
processor and the owner.

b. Maintenance and repair services n.i.e.


10.72 Maintenance and repair services n.i.e. cover
maintenance and repair work by residents on goods
that are owned by nonresidents (and vice versa).
The repairs may be performed at the site of the repairer or elsewhere. []

c.

Transport

10.74 Transport is the process of carriage of people and objects from one location to another as well as related supporting
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ANNEX VI. CLASSIFICATION AND STANDARD COMPONENTS


OF THE BALANCE OF PAYMENTS AND IIP (continued)
and auxiliary services. Also included are postal and courier
services. Transport can be classified according to:
(a) mode of transport, namely, sea, air, or other
(other may be further broken down into rail, road,
internal waterway, pipeline, and space transport as
well as electricity transmission); and
(b) what is carriedpassengers or freight.

d. Travel
10.86 Travel credits cover goods and services for own use
or to give away acquired from an economy by nonresidents
during visits to that economy. Travel debits cover goods and
services for own use or to give away acquired from other
economies by residents during visits to these other
economies. The goods and services may be purchased by the persons concerned or by another
party on their behalf. For example, business travel
may be paid or reimbursed by an employer, tuition
and living costs of a student may be paid by a government, or health costs may be paid or reimbursed by a government or insurer. Goods and services sup supplied by the producer without charge
are also included, such as tuition and board provided by a university.
10.87 The standard component breakdown of
travel is between business and personal travel, with
supplementary data for groups of special interest,
such as border, seasonal, and other short-term
workers. A separate supplementary breakdown of
travel into types of goods and services is suggested
(see BPM6, paragraph 10.95).

e.

Construction

a result of this treatment, the construction contracts


covered in international trade in services are generally of a short-term nature.

f.

Insurance and pension services

10.109 Insurance and pension services include services of providing life insurance and annuities, nonlife insurance, reinsurance, freight insurance, pensions, standardized guarantees, and auxiliary
services to insurance, pension schemes, and standardized guarantee schemes. More information on
insurance and pensions is provided in BPM6, Appendix 6c.

g. Financial services
10.118 Financial services cover financial intermediary and auxiliary services, except insurance and
pension fund services. These services include those
usually provided by banks and other financial corporations. They include deposit taking and lending,
letters of credit, credit card services, commissions
and charges related to financial leasing, factoring,
underwriting, and clearing of payments. Also included are financial advisory services, custody of financial assets or bullion, financial asset management, monitoring services, liquidity provision
services, risk assumption services other than insurance, merger and acquisition services, credit rating
services, stock exchange services, and trust services.
10.119 Financial services may be charged for by:
(a) explicit charges;
(b) margins on buying and selling transactions;

10.101 Construction covers the creation, renovation, repair, or extension of fixed assets in the form
of buildings, land improvements of an engineering
nature, and other such engineering constructions as
roads, bridges, dams, and so forth. It also includes
related installation and assembly work. It includes
site preparation and general construction as well as
specialized services such as painting, plumbing, and
demolition. It also includes management of construction projects.
10.103 If the external operations of a construction
enterprise are substantial enough, they constitute a
branch resident in the economy of operations (see
BPM6, paragraphs 4.274.29). Therefore, a largescale construction project contracted by a nonresident enterprise that takes a year or more to complete will usually give rise to a resident branch.
Accordingly, there would be a direct investment relationship between the parent and the branch; there
may also be goods and services supplied between
the branch and the parent, such as for materials. As

(c) asset management costs deducted from property income receivable in the case of asset-holding
entities; or
(d) margins between interest payable and the reference rate on loans and deposits (called financial
intermediation service charges indirectly measured,
abbreviated FISIM) []

h. Charges for the use of intellectual


property n.i.e.
10.137 Charges for the use of intellectual property
n.i.e. include:
(a) Charges for the use of proprietary rights (such
as patents, trademarks, copyrights, industrial
processes and designs including trade secrets, franchises). These rights can arise from research and development, as well as from marketing; and
(b) Charges for licenses to reproduce or distribute
(or both) intellectual property embodied in pro-

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

xxvii

ANNEX VI. CLASSIFICATION AND STANDARD COMPONENTS


OF THE BALANCE OF PAYMENTS AND IIP (continued)
duced originals or prototypes (such as copyrights
on books and manuscripts, computer software, cinematographic works, and sound recordings) and related rights (such as for live performances and television, cable, or satellite broadcast). []

i.

Telecommunications, computer, and


information services

10.141 Computer and telecommunication services


are defined in terms of the nature of the service, not
the method of delivery. To illustrate, provision of
business services, such as accounting services, is included under the appropriate heading under other
business services, even if these services are entirely
delivered by telephone, computer, or the Internet.
Only amounts payable for transmission should be
included under telecommunications services;
downloaded content should be included in the appropriate item (computer, information, audiovisual,
etc., services).

j.

Other business services

Includes: Research and development services; Professional and management consulting services; Technical, trade-related, and other business services;
Waste treatment and depollution, agricultural, and
mining services; Operating leasing; Trade-related
services; and Other business services

k.

Personal, cultural, and recreational


services

10.161 Personal, cultural, and recreational services


consist of (a) audiovisual and related services and
(b) other personal, cultural, and recreational services.

l.

Government goods and services n.i.e.

10.173
cover:

Government goods and services n.i.e.

(a) goods and services supplied by and to enclaves, such as embassies, military bases, and international organizations;
(b) goods and services acquired from the host
economy by diplomats, consular staff, and military
personnel located abroad and their dependents; and
(c) services supplied by and to governments and
not included in other categories of services. []

Primary income account


11.8 The international accounts distinguish the following types of primary income:
(a) compensation of employees;
(b) dividends;
xxviii

(c) reinvested earnings;


(d) interest;
(e) investment income attributable to policyholders in insurance, standardized guarantees, and pension funds;
(f)

rent; and

(g) taxes and


production. []

subsidies

on

products

and

Investment income and functional categories


1. Direct investment income
11.96 Direct investment income includes all investment income arising from direct investment positions between resident and nonresident institutional units. []
11.97 Direct investment relationships are defined
in BPM6, paragraphs 6.86.24. Three types of direct
investment relationships and associated investment
income flows can be distinguished:
(a) Direct investors investment in direct investment enterprises. This category includes investment
income flows (distributed earnings, reinvested earnings, and interest) between the direct investor and
its direct investment enterprises (whether in an immediate relationship or not).
(b) Reverse investment (defined in BPM6, paragraph
6.40). This type of relationship covers investment income flows on liabilities of direct investors to their direct investment enterprises and on claims of direct investment enterprises on their direct investors.
(c) Between fellow enterprises. This covers investment income flows between all fellow enterprises
that belong to the same direct investment group.
Dividends, withdrawals from income of quasicorporations, and interest can apply for any of these
types of direct investment relationships. Reinvested
earnings are attributed to direct investors only when
equity participation by the direct investor meets the
10 percent threshold. []

2. Portfolio investment income


11.103 Portfolio investment income includes income flows between residents and nonresidents
arising from positions in equity and debt securities
other than those classified under direct investment
or reserve assets. []

3. Other investment income


11.106 Other investment income covers flows between resident and nonresident institutional units in
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ANNEX VI. CLASSIFICATION AND STANDARD COMPONENTS


OF THE BALANCE OF PAYMENTS AND IIP (continued)
regard to interest on deposits, loans, trade credit and
advances, and other accounts receivable/payable; income on equity and investment fund shares that are
not classified in any other functional categories; and
investment income attributable to policyholders in
insurance, standardized guarantees, and pension
funds. Interest payable on SDR allocations is also
recorded under other investment income. Fees for
nonmonetary gold loans should also be included in
interest under other investment income. []

4. Income on reserve assets


11.109 [] Investment income on reserve assets
includes income on equity and investment fund
shares, and interest. [] If not available for publication, income from reserve assets should be included
in other investmentinterest.

Secondary income account


12.1 The secondary income account shows current transfers between residents and nonresidents. Various types of
current transfers are recorded in this account to
show their role in the process of income distribution between the economies. Transfers may be
made in cash or in kind. []
12.7 A transfer is an entry that corresponds to the provision of a
good, service, financial asset, or other nonproduced asset by an institutional unit to another institutional unit when there is no corresponding return of an item of economic value. []
12.20 The international accounts classify the following types of current transfers:

Personal transfers
Other current transfers
(a) current taxes on income, wealth, etc.,
(b) social contributions,
(c) social benefits,
(d) net nonlife insurance premiums,
(e) nonlife insurance claims,
(f)

current international cooperation, and

(g) miscellaneous current transfers. []


12.21 Personal transfers consist of all current transfers in
cash or in kind made or received by resident households to
or from nonresident households. Personal transfers thus
include all current transfers between resident and
nonresident individuals independent of:
(a) the source of income of the sender []
(b) the relationship between the households []

Capital account
2.16 The capital account shows credit and debit
entries for nonproduced nonfinancial assets and
capital transfers between residents and nonresidents. It records acquisitions and disposals of nonproduced nonfinancial assets, such as land sold to
embassies and sales of leases and licenses, as well as
capital transfers, that is, the provision of resources
for capital purposes by one party without anything
of economic value being supplied as a direct return
to that party. This account is described further in
BPM6, Chapter 13.
13.8 Nonproduced, nonfinancial assets consist of:
(a) natural resources;
(b) contracts, leases, and licenses; and
(c) marketing assets (and goodwill).
13.19 Capital transfers are transfers in which the ownership of an asset (other than cash or inventories) changes from
one party to another; or which obliges one or both parties to
acquire or dispose of an asset (other than cash or inventories); or where a liability is forgiven by the creditor. []

Gross and net recording


2.19 The current and capital accounts show transactions in gross terms. In contrast, the financial account shows transactions in net terms, which are
shown separately for financial assets and liabilities
(i.e., net transactions in financial assets shows acquisition of assets less reduction in assets, not assets net of liabilities). []

Net errors and omissions


2.24 Although the balance of payments accounts
are, in principle, balanced, imbalances result in
practice from imperfections in source data and compilation. This imbalance, a usual feature of balance
of payments data, is labeled net errors and omissions and should be identified separately in published data. It should not be included indistinguishably in other items. Net errors and omissions are
derived residually as net lending/net borrowing and
can be derived from the financial account minus the
same item derived from the current and capital accounts. Therefore, a positive value of net errors and
omissions indicates an overall tendency that:
(a) the value of credits in the current and capital
accounts is too low; and/or
(b) the value of debits in the current and capital accounts is too high; and/or

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xxix

ANNEX VI. CLASSIFICATION AND STANDARD COMPONENTS


OF THE BALANCE OF PAYMENTS AND IIP (continued)
(c) the value of net increases in assets in the financial account is too high; and/or
(d) the value of net increases in liabilities in the financial account is too low.
(For a negative value of net errors and omissions,
these tendencies are reversed.)

Financial account and International


investment position
2.17 The financial account shows net acquisition
and disposal of financial assets and liabilities. This account is described in BPM6, Chapter 8. Financial account transactions appear in the balance of payments
and, because of their effect on the stock of assets and
liabilities, also in the integrated IIP statement.
2.18 The sum of the balances on the current and
capital accounts represents the net lending (surplus)
or net borrowing (deficit) by the economy with the
rest of the world. This is conceptually equal to the
net balance of the financial account. In other words,
the financial account measures how the net lending
to or borrowing from nonresidents is financed. The
financial account plus the other changes account
explain the change in the IIP between beginningand end-periods.
2.11 The highest level of classification used in the
IIP, financial account, and other changes in assets
and liabilities account is the functional classification, which is covered in BPM6, Chapter 6. []

1. Direct investment
6.8 Direct investment is a category of cross-border investment associated with a resident in one economy having
control or a significant degree of influence on the management of an enterprise that is resident in another economy.
As well as the equity that gives rise to control or influence, direct investment also includes investment
associated with that relationship, including investment in indirectly influenced or controlled enterprises (BPM6, paragraph 6.12), investment in fellow enterprises (see BPM6 paragraph 6.17), debt
(except selected debt set out in BPM6, paragraph
6.28), and reverse investment (see BPM6 paragraph
6.40). The Framework for Direct Investment Relationships (FDIR) provides criteria for determining
whether cross-border ownership results in a direct
investment relationship, based on control and influence. The definition of direct investment is the
same as in the fourth edition of the OECD Benchmark Definition of Foreign Direct Investment, which
provides additional details on the FDIR and the
collection of direct investment data. []
xxx

2. Portfolio investment
6.54 Portfolio investment is defined as crossborder
transactions and positions involving debt or equity securities,
other than those included in direct investment or reserve
assets. [] The negotiability of securities is a way of
facilitating trading, allowing them to be held by
different parties during their lives. Negotiability
allows investors to diversify their portfolio and to
withdraw their investment readily. Investment fund
shares or units (i.e., those issued by investment
funds) that are evidenced by securities and that are
not reserve assets or direct investment are included in
portfolio investment. Although they are negotiable
instruments, exchange-traded financial derivatives
are not included in portfolio investment because
they are included in their own separate category.
6.57 Portfolio investment may be presented by
instrument, original or remaining maturity, or
institutional sector.[]

3. Financial Derivatives (Other Than


Reserves) and Employee Stock Options
6.58 The definition of the functional category financial derivatives and employee stock options
(other than reserves) largely coincides with the corresponding financial instrument class, which is discussed in detail in BPM6 paragraphs 5.795.98. The
difference in coverage between the functional category and the financial instrument is that financial
derivatives associated with reserve asset management are excluded from the functional category and
included in reserve assets (see BPM6, paragraph
6.91). This category is identified separately from the
other categories because it relates to risk transfer,
rather than supply of funds or other resources.
6.59 Unlike other functional categories, no primary income accrues on financial derivatives. Any
amounts accruing under the contract are classified
as revaluations and are included in the other
changes in assets and liabilities account. []

4. Other Investment
6.61 Other investment is a residual category that includes positions and transactions other than those included
in direct investment, portfolio investment, financial derivatives and employee stock options, and reserve assets. To
the extent that the following classes of financial assets and liabilities are not included under direct investment or reserve assets, other investment includes:
(a) other equity;
(b) currency and deposits;
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ANNEX VI. CLASSIFICATION AND STANDARD COMPONENTS


OF THE BALANCE OF PAYMENTS AND IIP (concluded)
(c) loans (including use of IMF credit and loans
from the IMF);
(d) nonlife insurance technical reserves, life insurance and annuities entitlements, pension entitlements, and provisions for calls under standardized
guarantees;
(e) trade credit and advances;
(f)

other accounts receivable/payable; and

(g) SDR allocations []

Special drawing rights


5.34 SDRs are international reserve assets created by the
IMF and allocated to members to supplement existing official reserves. SDRs are held only by the monetary authorities of IMF members and a limited number of
international financial institutions that are authorized holders. SDR holdings represent unconditional rights to obtain foreign exchange or other reserve assets from other IMF members. []

5.35 Holdings of SDRs by an IMF member are


recorded as an asset, while the allocation of SDRs is
recorded as the incurrence of a liability of the member receiving them (because of a requirement to
repay the allocation in certain circumstances, and
also because interest accrues). The holdings and allocations should be shown gross, rather than netted.

5. Reserves
6.64 Reserve assets are those external assets that are
readily available to and controlled by monetary authorities
for meeting balance of payments financing needs, for intervention in exchange markets to affect the currency exchange
rate, and for other related purposes (such as maintaining
confidence in the currency and the economy, and serving as
a basis for foreign borrowing). Reserve assets must be
foreign currency assets and assets that actually
exist. Potential assets are excluded. Underlying the
concept of reserve assets are the notions of control, and availability for use, by the monetary authorities. The composition of reserve assets and reserve-related liabilities is shown in BPM6, Box 6.5.

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INTRODUCTION
Le volume 63 de l'Annuaire de statistiques de la
balance des paiements (Balance of Payments Statistics Yearbook), publi par le Fonds montaire international (FMI), est le premier annuaire qui prsente les
donnes relatives la balance des paiements et la
position extrieure globale (PEG) daprs la sixime
dition du Manuel de la balance des paiements et de
la position extrieure globale (BPM6)1 . Les donnes
sont prsentes partir de 2005. Le FMI remercie les
pays de lui fournir rgulirement et en temps voulu
des donnes dtailles aux fins de leur rediffusion.
Ces donnes facilitent les efforts dploys par le Dpartement des statistiques du FMI pour rpondre aux
besoins du FMI, de ses pays membres et de la communaut internationale en matire d'analyse et
d'laboration de la politique conomique.
L'annuaire comprend deux parties. Dans la premire, les tableaux pays (Country Tables) prsentent les
donnes annuelles de la balance des paiements et de
la PEG des pays, jurisdictions et autres entits
dclarantes; dans la deuxime, les 21 tableaux mondiaux et rgionaux (World and Regional Tables) prsentent les principales composantes de la balance des
paiements. Les mtadonnes de la balance des
paiements et de la PEG (qui figuraient dans la
troisime partie, Methodologies, Compilation Practices,
and Data Sources) sont maintenant publies uniquement sous forme lectronique (eLibrary-Data2) et en
CD-ROM. Lannuaire est complt par la base de
donnes en ligne et le CD-ROM qui sont mis jour
chaque mois.
Comme indiqu plus haut, la prsente dition de
lannuaire est la premire tablie sur la base du MBP6 3,
qui a t approuv par le Comit des statistiques de
balance des paiements du FMI et publi en 2009. Elle
fournit des normes mondiales actualises pour les
mthodes dtablissement et la prsentation des statistiques des comptes internationaux. Le MBP6 inclut
des prcisions et des amliorations qui refltent lvo-

1Voir
http://www.imf.org/external/pubs/ft/bop/2007/bopman6.htm.
2Voir http://elibrary-data.imf.org/
3Le volume 1 de lannuaire, publi en 1949, a t tabli sur la
base de la premire dition du Manuel de la balance des paiements
du FMI, publie en 1948; les volumes 2-12, sur la base de la deuxime dition, publie en 1950; les volumes 13-23, sur la base de
la troisime dition, publie en 1961; et les volumes 2429 sur la
base de la troisime dition, ainsi que de son supplment, publi
en 1973. Les volumes 30-45 ont suivi les recommandations de la
quatrime dition, publie en 1977. Les volumes 46-62 ont t
prsents selon les composantes types de la cinquime dition.
Cependant, les composantes types ont t modifies avec la publication de Drivs financiers : Supplment la cinquime dition (1993),
publi en 2000 et modifi en 2002.

lution et lexpansion considrables des arrangements


commerciaux et des marchs financiers lchelle
mondiale depuis la publication de la cinquime dition du Manuel de la balance des paiements (MBP5) en
1993. Par ailleurs, les liens et la cohrence avec les
autres statistiques macroconomiques sont prservs
et renforcs grce la mise jour parallle de la Dfinition de rfrence dtaille des investissements directs internationaux de l'OCDE et du Systme de comptabilit nationale.
Lappendice 8 et la matrice de conversion du
MBP64 dcrivent en dtail les changements apports
par rapport au MBP5 sur le plan des concepts et de
la prsentation, ce qui comprend les changements
de nom (par exemple, les transferts courants du
MBP5 sont appels revenu secondaire dans le
MBP6), lagencement des donnes dans les comptes
(par exemple, les donnes sur linvestissement direct
sont prsentes sur la base du principe directionnel
dans le MBP5, alors quelles sont prsentes sur une
base stricte actif/passif dans les composantes types
du MBP6), et la valeur des enregistrements (par exemple, les biens qui sont envoys ltranger temporairement pour y tre transforms sans transfert de
proprit sont inclus dans les importations et exportations brutes dans le MBP5, tandis que seuls les frais
de transformation sont inclus dans le MBP6).
Depuis de nombreuses dcennies, le FMI publie
des donnes sur une base cohrente entre pays et
priodes. Ce traitement systmatique est ncessaire
lanalyse comparative de donnes entre pays, au suivi
dans le temps des taux de croissance et la production dagrgats rgionaux ou mondiaux. La difficult,
comme ce ft le cas pour ladoption des versions
prcdentes du Manuel de la balance des paiements,
est que les pays nadoptent pas tous le MBP6 au
mme moment. Les travaux de conversion des donnes entrepris par les services du FMI ont permis de
prsenter selon le format du MBP6 les donnes
compter de 2005 pour les pays qui ont dclar leurs
donnes selon ce format et ceux qui tablissent encore leurs donnes selon le format du MBP5. Pour
prsenter les donnes selon le format du MBP6,
le Dpartement des statistiques a collabor troitement avec les pays membres du FMI. Pour chaque
pays, lune des trois approches suivantes a t adopte : i) les pays ont mis en application le MBP6 et ont
fourni leurs propres estimations selon ce format;
ii) les pays ont communiqu au Dpartement des
statistiques des donnes MBP5 et ont opt pour une

4Voir (en anglais uniquement) BPM6 Compilation Guide


(Appendix 1) ladresse http://www.imf.org/external/pubs/
ft/bop/2007/bop6comp.htm

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

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f-i

conversion gnrique de leurs donnes en format MBP6 en utilisant des rgles standard qui sont
applicables un grand nombre de pays et dans le
temps (voir encadr 1); ou iii) les pays ont opt
pour une conversion personnalise de leurs
donnes en format MBP5, en adaptant les rsultats
de la conversion gnrique en consultation avec le

FMI. Pour aider les utilisateurs comprendre limpact de la conversion au MBP6, ainsi que les principaux changements mthodologiques entre le
MBP5 et le MBP6, une foire aux questions est
disponible (en anglais uniquement) sur le site Web
du FMI ladresse http://www.imf.org/external/pubs/ft/bop/2007/bopman6.htm.

Encadr 1. Principales rgles utilises pour la conversion gnrique


des donnes du MBP5 au MBP6

f-ii

Les soldes du compte des transactions courantes, du compte de capital et du compte financier ; les avoirs de reserve et les erreurs nettes et omissions nont pas t modifies.

La rubrique ngoce international, qui figurait dans les services, a t reclasse parmi les biens.

Les services de fabrication sur des intrants physiques dtenus par des tiers (biens imports
ou exports pour transformation dans le MBP5) sont reclasss parmi les services au lieu des
biens. Les valeurs brutes des biens qui ont travers physiquement des frontires pour transformation mais sans quil y ait transfert de proprit sont exclus du commerce de biens;

La rparation de biens est reclasse parmi les services (rubrique intitule services d'entretien et de rparation non inclus ailleurs dans le MBP6);

Les achats de biens dans les ports par les transporteurs sont inclus dans marchandises
gnrales sur base de balance des paiements ;

La rubrique services de tlcommunications, dinformatique et dinformation regroupe


celles des services de communication et services dinformatique et dinformation
du MBP5;

Les services postaux et de messagerie sont inclus dans les transports ;

La rubrique transferts des migrants est incluse dans autres transferts de capital - socits
financires, socits non financires, mnages et ISBLSM. (Bien que les transferts des migrants ne doivent pas figurer dans les comptes de la balance des paiements conformment
au MBP6, le FMI na pas pu supprimer ce compte sans altrer les erreurs et omissions nettes,
ce qui a ainsi t vit) ;

L'investissement rebours de l'investissement direct est reclass sur la base des


actifs/passifs ;

En gnral, les donnes concernant les autorits montaires du MBP5 sont rattaches la
rubrique banque centrale.Dans certains cas, les donnes sont rattaches (intgralement ou
partiellement) aux administrations publiques ou une autre unit institutionnelle en consultation avec les pays ;

Lutilisation des signes dans les prsentations de la balance des paiements a t modifi
comme suit : i) dans les comptes des transactions courantes et de capital, les crdits et les
dbits sont enregistrs avec des signes positifs ; ii) dans le compte financier, les augmentations des actifs et les augmentations des passifs sont enregistres avec des signes positifs, et
les diminutions des actifs et les diminutions des passifs avec des signes ngatifs ;

Pour la diffusion des donnes par le FMI, selon lusage bien tabli de lorganisation, les donnes fournies par le Dpartement financier du FMI relatives aux avoirs en DTS, aux allocations de DTS et la position de rserve au FMI sont substitues aux donnes dclares, sil
y a un cart.

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Les mthodologies, les pratiques d'tablissement


des donnes et les sources de donnes des pays
dclarants qui sont disponibles dans eLibrary-Data
et sur CD-ROM reposent sur les renseignements
fournis par les pays au FMI. Les descriptions ont
pour objectif de mieux faire comprendre l'utilisateur la couverture des donnes des pays, ainsi que
leurs limitations. Par ailleurs, elles sont utiles pour
informer les statisticiens des sources de donnes et
des pratiques de leurs homologues dans les autres
pays. Pour faciliter la communication des mtadonnes sur la balance des paiements et la position extrieure globale, le cas chant, les pays ont pu pour
la premire fois cette anne soumettre ces informations l'aide de questionnaires en ligne.
L'introduction est structure comme suit :

La Section I dcrit les tableaux publis


dans la premire partie de ce volume de l'annuaire.

La Section II fournit des informations


sur l'accessibilit des donnes de balance des
paiements du FMI sur CD-ROM et BOP Online.

La Section III contient six annexes : l'Annexe I fournit une prsentation analytique de la
balance des paiements (et les codes donnes connexes) ; lAnnexe II prsentent les composantes
types de la balance des paiements (et les codes
donnes connexes); lAnnexe III prsente les
composantes types de la position extrieure globale (et les codes donnes connexes); lAnnexe IV
explique le systme de codification des donnes;
lAnnexe V dcrit le cadre conceptuel de la balance des paiements et de la position extrieure
globale; et lAnnexe VI explique la classification
et les composantes types de la balance des
paiements et de la position extrieure globale, tel
que dfinis dans le MBP6.

I. Tableaux de la premiere partie de lannuaire :


donnes individuelles par pays
La premire partie de l'annuaire prsente les pages
de donnes par ordre alphabtique. Dans la prsente
publication, le terme pays ne dsigne pas toujours
une entit territoriale constituant un tat tel quil est
dfini selon lusage et le droit internationaux; ce
terme recouvre galement certaines entits territoriales qui ne sont pas des tats souverains mais sur
lesquelles des donnes statistiques sont fournies sparment au niveau international.
Pour chaque pays, les donnes de la balance des
paiements sont prsentes selon la prsentation analytique et la prsentation type. Les composantes de
la balance des paiements dans la prsentation analytique (tableau 1) sont prsentes de manire mettre
en vidence les postes de financement (rserves et
postes). La prsentation type de la balance des
paiements (tableau 2) et de la position extrieure

globale (tableau 3) montrent les donnes affiches


dans les composantes types dcrites dans le MBP6.
Les tableaux 1, 2, and 3 prsentent les donnes
dclares pour les annes 20052011 pour chaque
pays. Sauf indication contraire, les tableaux prsentent des chiffres pour les annes civiles.
Balance des paiements : prsentation analytique

Dans la prsentation analytique qui figure au


tableau 1, les composants de la balance des
paiements sont classes en cinq grandes catgories
de donnes (groupes A E) que le FMI considre
utiles pour analyser de manire uniforme l'volution
des balances des paiements ; et les transactions sont
reclasses par rapport aux composantes types.
Cependant, il ne faut pas considrer que les groupes
slectionns refltent les recommandations du FMI
quant la dmarche analytique approprie pour
chaque pays. On pourrait tablir d'autres prsentations analytiques en regroupant les composantes
types d'autres manires pour tenir compte du contexte particulier d'un pays donn ou rpondre des
besoins analytiques particuliers.
Les chiffres qui figurent dans les prsentations analytiques et types diffrent pour les soldes du compte
des transactions courantes, du compte de capital et du
compte financier pour certains pays. Cela s'explique
par le fait que, dans la prsentation analytique, certaines transactions au titre de ces comptes sont reclasses parmi les rserves et postes connexes . Les
transactions reclasses sont groupes parmi les avoirs
de rserve, les crdits et les prts du FMI, et le financement exceptionnel. Le financement exceptionnel a trait aux transactions effectues par les autorits
pour financer les besoins de financement de la balance
des paiements, y compris des postes tels que les emprunts extrieurs, l'accumulation et le paiement d'arrirs, et les remises de dettes. Le financement exceptionnel exclut les avoirs de rserve, ainsi que les
crdits et des prts du FMI. (Voir aussi Annexe I).
Balance des paiements : prsentation type

Les composantes types de la balance des


paiements, qui figurent dans la prsentation type du
tableau 2, sont rsumes sous les biens et services, le
revenu primaire et le revenu secondaire dans le
compte des transactions courantes, et aussi sous les
principales composantes types dans le compte de
capital. Dans le compte financier, les composantes
sont classes par catgories fonctionnelles (c'est-dire, investissements directs, investissements de
portefeuille, drivs financiers (autres que rserves)
et options sur titres des salaris, autres investissements et avoirs de rserve), par type d'instrument financier (actions, dettes et autres), sparment pour
les acquisitions nettes d'actifs financiers et l'accroissement net de passifs. La plupart de ces catgories du compte financier sont ensuite classes par

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

f-iii

secteur intrieur (banque centrale ; tablissements de


dpts autres que la banque centrale ; administrations publiques; et autres secteurs (ces derniers contenant dont : autres socits financires ). (Voir
aussi Annexe II.)
Position extrieure globale

Les donnes de la position extrieure globale, qui


figurent au tableau 3, sont prsents conformment
aux composantes types de la position extrieure
globale dfinies dans le MBP6. (Voir aussi Annexe III.)
Les donnes de la position extrieure globale refltent les actifs et passifs financiers extrieurs d'un pays
un moment donn. La classification des composantes de la position extrieure globale est conforme celle du compte financier de la balance des
paiements. Cette cohrence est indispensable pour
une analyse exhaustive des relations entre les
comptes. Les transactions financires de la balance des
paiements et les autres flux (rvaluations et autres
changements de volume) indiquent la contribution
aux changements entre les positions d'ouverture et de
clture des actifs et passifs financiers enregistrs dans
la position extrieure globale. En d'autres termes, les
actifs et passifs financiers gagnent ou perdent de la
valeur et apparaissent ou disparaissent du fait de
transactions de la balance des paiements, d'autres
changements de volume, ou de rvaluations.
La diffrence entre les actifs et les passifs financiers
extrieurs dune conomie est la position extrieure
globale nette de lconomie.
La dette extrieure n'est pas une composante distincte de la position extrieure globale, mais on peut
la calculer en faisant la somme des positions de passif autres que les drivs financiers (autres que les
rserves) et les options sur titres des salaris, les actions et les parts dans les fonds de placement, et les
autres participations (ce ne sont pas des instruments
de dette selon les normes statistiques internationales).
Codes donnes

Les tableaux 1, 2, and 3 indiquent les codes pour


chaque catgorie de donnes et chaque composante.
Les codes sont conus pour les composantes types
de la balance des paiements et les donnes de la position extrieure globale telles qu'elles sont dfinies
dans le MBP6, ainsi que pour les composantes
OCDE/Eurostat pour le commerce des services.
Il y a neuf chiffres/caractres pour chaque code
figurant dans l'annuaire. Les deux premiers chiffres
dsignent le compte, le premier indiquant le compte
principal, 1 tant attribu au compte des transactions courantes, 2 au compte de capital, 3 au
compte financier et 8 la position extrieure globale. Le deuxime chiffre indique le sous-compte
auquel fait rfrence le concept, par exemple 1A
f-iv

Services, 1B Biens, 1C Revenu primaire, 1D


Revenu secondaire, 3A Compte financier : investissements directs, 8A PEG : investissements
directs. Les quatre chiffres suivants sont utiliss pour
classer les composants de la balance des paiements
et de la position extrieure globale. Par exemple, le
compte courant est cod 10999, le compte de capital
20999, et le compte financier 30999. Les lecteurs
peuvent consulter l'annexe IV pour obtenir des dtails sur le systme de codification.
Le sixime chiffre indique des caractristiques spciales de certaines composantes. S indique un
remplacement des comptes et F indique l'exclusion du financement exceptionnel. Le septime
chiffre indique l'unit comptable : C pour crdit,
D pour dbit, B pour solde, A pour acquisitions nettes d'actifs financiers, L pour accroissement net des passifs et N pour net. Le huitime
chiffre reprsente le secteur public. Le neuvime
chiffre reprsente l'chance (sur la base de
l'chance initiale) : S pour court terme, L pour
long terme, A pour toutes les chances et N
pour non applicable.
Convention des signes

Dans les prsentations analytique et type (tableaux


1 et 2), les donnes sur les transactions figurent
comme des inscriptions brutes au crdit ou au dbit
dans le compte des transactions courantes et le
compte de capital, et comme acquisitions nettes d'actifs financiers ou accroissement net de passifs (pour
reflter les variations nettes d'actifs ou de passifs)
dans le compte financier. Dans le compte des transactions courantes et le compte de capital, les inscriptions au crdit et au dbit sont positives (mais sans
signe plus). Dans le compte financier, les augmentations des actifs et les augmentations des passifs figurent comme des montants positifs (sans signe plus),
et les diminutions des actifs et les diminutions des
passifs comme des montants ngatifs. On obtient les
soldes du compte de transactions courantes et du
compte de capital en soustrayant les dbits des
crdits, et celui du compte financier en soustrayant
l'accroissement net des passifs des acquisitions nettes
d'actifs financiers. Un signe positif pour le solde du
compte financier indique une augmentation nette des
actifs, tandis qu'un signe positif indiquait une augmentation nette des passifs dans le MBP5.
Signes ngatifs

La rgle de conversion utilise dans la conversion


gnrique pour le reclassement des services de fabrication sur des intrants physiques dtenus par des
tiers (biens imports ou exports pour transformation dans le MBP5) parmi les services au lieu des
biens a peut-tre entran des valeurs ngatives pour
ces services pour certains pays dans une priode
donne. C'est le cas lorsque la valeur des importa2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

tions dpasse la valeur des exportations dans le pays


o s'effectue la transformation, ou lorsque la valeur
des exportations dpasse la valeur des importations
dans le pays partenaire.
Donnes nulles, non disponibles ou confidentielles

Dans les tableaux de l'annuaire, (....) indique que


les donnes sont non disponibles, nulles ou insignifiantes, ou confidentielles. Lorsque les donnes
pour une ou plusieurs sous-composantes ne peuvent
tre rvles pour des raisons de confidentialit, les
valeurs non communiques seront soit i) ajoutes
une sous-composante gnrique (comme autres )
dans la composante en question, soit ii) omises sans
ajustement d'une sous-composante gnrique. Dans
un cas comme dans l'autre, le total dclar reste inchang ; donc, dans le cas ii), il ne serait pas gal la
somme des composantes.
Arrondis

La plupart des donnes figurant dans les tableaux


sont exprimes en units d'un million. Cette unit
est choisie pour prsenter les chiffres de manire pratique. En raison des mthodes de calcul utilises, des
diffrences peuvent apparatre entre un agrgat et la
somme de ses composantes.
Conversion de monnaie

Les donnes de la balance des paiements et de la


position infrieure globale qui sont dclares au FMI
sont exprimes en monnaie nationale, en dollar
amricain ou dans une autre monnaie. Pour faciliter
les comparaisons internationales, tous les tats de
balance des paiements et de position extrieure globale qui sont publis dans l'annuaire et sur le CDROM BOPS sont exprims en dollar amricain. En
outre, toutes les donnes dclares par les pays sur
les transactions et positions avec le FMI ainsi que les
transactions et positions en DTS sont remplaces par
des donnes obtenues dans les livres du FMI, qui
sont tenus en DTS. Il s'ensuit une conversion en dollar amricain.
Pour les pays qui ne dclarent pas en dollar amricain, les donnes de la balance des paiements sont
converties l'aide des taux de conversion qui figurent
en bas du tableau 1. Ces taux sont normalement les
taux moyens des International Financial Statistics (IFS)

pour l'anne en question. Par exemple, les pages IFS


pour la zone euro contiennent la ligne rf , qui
donne les taux moyens euro/dollar amricain. Les
conversions de DTS en dollar amricain s'effectuent
aux taux figurant la ligne sb des pages IFS pour
les tats-Unis. Pour les pays qui dclarent des donnes trimestrielles en monnaie nationale, on obtient
les totaux annuels en dollar amricain en agrgeant
les chiffres trimestriels en dollar amricain.
Pour les pays qui ne dclarent pas de donnes de
la position extrieure globale en dollar amricain, les
donnes sont converties l'aide des taux de conversion qui figurent en bas du tableau 3. Ces taux sont
normalement les taux de change d'un pays en fin de
priode (ligne ae ) des IFS pour l'anne en question. Les lecteurs trouveront plus d'informations (en
anglais uniquement) sur les taux de change utiliss
dans l'introduction des IFS, Section 1, ou sur le CDROM des IFS dans le fichier intitul INT.rtf.

II. CD-ROM et versions Internet


Les statistiques publies dans l'annuaire sont
disponibles aussi sur CD-ROM et sur Internet (Balance of Payments Statistics OnlineBOP online).
Dans cette version lectronique, il se peut que les
sries chronologiques soient lgrement plus
longues que celles figurant dans la version imprime
de l'annuaire, de mme que le nombre de priodes
pour lesquelles des observations sont fournies. En
outre, les donnes trimestrielles dclares par les
pays sont disponibles, et les mises jour et les rvisions des donnes sont incluses mesure qu'elles
sont disponibles. Les questions sur le CD-ROM et
BOP Online sont adresser :

Publication Services
International Monetary Fund
Washington, DC 20431, U.S.A.
Tlphone : (202) 6237430
Tlcopie : (202) 6237201
Messagerie lectronique : publications@imf.org
Internet : http://www.imf.org

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ANNEXE I. PRSENTATION ANALYTIQUE DE LA BALANCE DES PAIEMENTS


Codes donnes
A. COMPTE DES TRANSACTIONS COURANTES1. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

10999FBXN

Biens, crdit (exportations) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Biens, dbit (importations) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Solde du commerce de biens . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Services, crdit (exportations). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Services, dbit (importations) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Solde des biens et services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenu primaire : crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenu primaire : dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Solde des biens, des services et du revenu primaire . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

1A9999CXN
1A9999DXN
1A9999BXN
1B9999CXN
1B9999DXN
1Z9999BXN
1C9999CXA
1C9999DXA
1Y9999BXN

Revenu secondaire : crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Revenu secondaire : dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

1D999FCAA
1D9999DAA

B. COMPTE DE CAPITAL1. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

20999FBAA

Compte de capital : crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Compte de capital : dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Solde du compte des transactions courantes et du compte de capital . . . . . . . . . . . . . . . . . .

20999FCAA
209999DAA
129999BAN

C. COMPTE FINANCIER1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

30999FNAA

Investissements directs : actifs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Actions et autres participations et parts dans les fonds de placement . . . . . . . . . . .
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Passifs dinvestissement direct . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Actions et autres participations et parts dans les fonds de placement . . . . . . . . . . .
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investissements de portefeuille : actifs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Actions et parts dans les fonds de placement . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Titres de crance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investissements de portefeuille passifs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Actions et parts dans les fonds de placement . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Titres de crance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Drivs financiers et options sur titres des salaris : net . . . . . . . . . . . . . . . . . . . . . . .
Drivs financiers et options sur titres des salaris : actifs . . . . . . . . . . . . . . . . . . . .
Drivs financiers et options sur titres des salaris : passifs. . . . . . . . . . . . . . . . . . .
Autres investissements : actifs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres participations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres investissements : passifs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres participations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Solde courant + capital financier . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

3A9999AAA
3AA000AAA
3AB000AAA
3A999FLAA
3AA00FLAA
3AB00FLAA
3B9999AAA
3BA000AAA
3BB000AAA
3B999FLAA
3BA00FLAA
3BB00FLAA
3C9999NAA
3C9999AAA
3C9999LAA
3D9999AAA
3DA000AAA
3DZ000AAA
3D999FLAA
3DA00FLAA
3DZ00FLAA
4Y999FNAA

D. ERREURS ET OMISSIONS NETTES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

40999SNAA

E.

RSERVES ET POSTES CONNEXE. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

4Z999SNAA

Avoirs de rserve . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Crdit et prts du FMI. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financement exceptionnel . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

3E999SAAA
3DC0ZSLAA
4099E0LAN

Taux de conversion : . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
1Non

RFZFB

compris les composantes qui font partie des categories du groupe E.

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

F-vii

ANNEX II. PRSENTATION TYPE DE LA BALANCE DES PAIEMENTS


Codes donnes
COMPTE DES TRANSACTIONS COURANTES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 109999BXN
BIENS ET SERVICES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1Z9999BXN
Crdit total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1Z9999CXN
Dbit total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1Z9999DXN
BIENS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1A9999BXN
Crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1A9999CXN
Marchandises gnrales : exportations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1AA000CXN
Exportations nettes de biens dans le cadre du ngoce international . . . . . . . . . . . . . . . . 1AB000BXN
Or non montaire : exportations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1AC000CXN
Dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1A9999DXN
Marchandises gnrales : importations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1AA000DXN
Or non montaire : importations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1AC000DXN
SERVICES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1B9999BXN
Crdit total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1B9999CXN
Dbit total. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1B9999DXN
Services de fabrication fournis sur des intrants physiques dtenus par des tiers, crdit . . . . . . 1BA000CXN
Services de fabrication fournis sur des intrants physiques dtenus par des tiers, dbit . . . . . . 1BA000DXN
Services dentretien et de rparation n.i.a., crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BB000CXN
Services dentretien et de rparation n.i.a., dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BB000DXN
Transport, crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC000CXN
Passagers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00ZCXN
Fret . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00YCXN
Autres (y comprisservices postaux et de messagerie) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00WCXN
Transport, debit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC000DXN
Passagers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00ZDXN
Fret . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00YDXN
Autres (y compris services postaux et de messagerie) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00WDXN
Voyages, crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD000CXN
titre professionnel . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD100CXN
titre personnel . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD130CXN
Voyages, dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD000DXN
titre professionnel . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD100DXN
titre personnel . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD130DXN
Autres services, crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1B999ZCXN
Construction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BE000CXN
Services dassurances et de pension . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BF000CXN
Services financiers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BG000CXN
Frais pour usage de proprit intellectuelle non inclus ailleurs . . . . . . . . . . . . . . . . . . . . 1BH000CXN
Services de tlcommunications, dinformatique et dinformation . . . . . . . . . . . . . . . . . 1BJ000CXN
Autres services aux entreprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BK000CXN
Services personnels, culturels et relatifs aux loisirs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BL000CXN
Biens et services des administrations publiques non inclus ailleurs . . . . . . . . . . . . . . . . 1BM000CXN
F-viii

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEX II. PRSENTATION TYPE DE LA BALANCE DES PAIEMENTS


Construction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Services dassurances et de pension . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Services financiers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Frais pour usage de proprit intellectuelle non inclus ailleurs . . . . . . . . . . . . . . . . . . . .
Services de tlcommunications, dinformatique et dinformation . . . . . . . . . . . . . . . . .
Autres services aux entreprises . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Services personnels, culturels et relatifs aux loisirs . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Biens et services des administrations publiques non inclus ailleurs . . . . . . . . . . . . . . . .

Codes donnes
1B999ZDXN
1BE000DXN
1BF000DXN
1BG000DXN
1BH000DXN
1BJ000DXN
1BK000DXN
1BL000DXN
1BM000DXN

REVENU PRIMAIRE . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Crdit total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dbit total. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Rmunration des salaris, crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Rmunration des salaris, dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus des investissement, crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

1C9999BXA
1C9999CXA
1C9999DXA
1CA000CXA
1CA000DXA
1CB000CXA

Autres services, dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Revenus des investissements directs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Revenus des actions et autres participations et des parts de fonds de placement . . . .
Dividendes et bnfices distribus par les quasi-socits . . . . . . . . . . . . . . . . . . . . .
Bnfices rinvestis (investisseur direct dans des entreprises dinvestissement direct)
Intrts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus dinvestissements de portefeuille. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus des actions et parts de fonds de placement . . . . . . . . . . . . . . . . . . . . . . . . . .
Dividendes sur actions, hors parts de fonds de placement . . . . . . . . . . . . . . . . . . . .
Revenus dinvestissement attribuables aux actionnaires de fonds de placement . . .
Intrts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres revenus dinvestissement . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Bnfices distribus par les quasi-socits . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Intrts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus dinvestissements attribuables aux dtenteurs de polices dassurance, aux
ayants droit des fonds de pension et aux bnficiaires de garanties standard . . . . . . .
Revenus des actifs de rserve . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus des actions et des parts de fonds de placement . . . . . . . . . . . . . . . . . . . . . . .
Intrts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus des investissements, dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus des investissements directs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus des actions et autres participations et des parts de fonds de placement . . . .
Dividendes et bnfices distribus par les quasi-socits . . . . . . . . . . . . . . . . . . . . .
Bnfices rinvestis (investisseur direct dans des entreprises dinvestissement direct)
Intrts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus dinvestissements de portefeuille. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus des actions et parts de fonds de placement . . . . . . . . . . . . . . . . . . . . . . . . . .
Dividendes sur actions, hors parts de fonds de placement . . . . . . . . . . . . . . . . . . . .
Revenus attribuables aux propritaires des parts de fonds de placement . . . . . . . . .
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

1CB100CXA
1CB110CXA
1CB111CXA
1CB112CXA
1CB120CXA
1CB200CXA
1CB210CXA
1CB211CXA
1CB212CXA
1CB220CXA
1CB300CXA
1CB310CXA
1CB320CXA
1CB330CXA
1CB400CXA
1CB410CXA
1CB420CXA
1CB000DXA
1CB100DXA
1CB110DXA
1CB111DXA
1CB112DXA
1CB120DXA
1CB200DXA
1CB210DXA
1CB211DXA
1CB212DXA
F-ix

ANNEX II. PRSENTATION TYPE DE LA BALANCE DES PAIEMENTS


Intrts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres revenus dinvestissement . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Bnfices distribus par les quasi-socits . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Intrts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Revenus dinvestissements attribuables aux dtenteurs de polices dassurance, aux
ayants droit des fonds de pension et aux bnficiaires de garanties standard . . . . . . .
Autre revenu primaire, crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autre revenu primaire, dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
REVENU SECONDAIRE . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

F-x

Codes donnes
1CB220DXA
1CB300DXA
1CB310DXA
1CB320DXA
1CB330DXA
1CC000CXA
1CC000DXA
1D9999BAA

Crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

1D9999CAA

Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Socits financires, socits non financires, mnages et ISBLSM . . . . . . . . . . . . . . . .
Transferts personnels . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres transferts courants . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Socits financires, socits non financires, mnages et ISBLSM . . . . . . . . . . . . . . . .
Transferts personnels . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres transferts courants . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

1D9999CGA
1D9999COA
1DF000COA
1DG000COA
1D9999DAA
1D9999DGA
1D9999DOA
1DF000DOA
1DG000DOA

COMPTE DE CAPITAL . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Acquisitions brutes dactifs non financiers non produits, dbit . . . . . . . . . . . . . . . . . . . . . . . . . .
Acquisitions brutes dactifs non financiers non produits, dbit . . . . . . . . . . . . . . . . . . . . . . . . . .
Transferts en capital, crdit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Remise dedettes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres transferts en capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Socits financires, socits non financires, mnages et ISBLSM . . . . . . . . . . . . . . . . . .
Transferts en capital, dbit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Remise de dettes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres transferts en capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Socits financires, socits non financires, mnages et ISBLSM . . . . . . . . . . . . . . . . . .

209999BAA
20A000CAA
20A000DAA
20A100CAA
20A100CGA
20A110CGA
20A120CGA
20A100COA
0A100DAA
20A100DGA
20A110DGA
20A120DGA
20A100DOA

COMPTE FINANCIER . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
INVESTMENT DIRECT . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Acquisition nette dactifs financiers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Actions et autres participations et parts dans les fonds de placement . . . . . . . . . . . . . . . . .
Actions et autres participations autres que le rinvestissement des bnfices . . . . . . . . .
Investisseur direct dans des entreprises dinvestissement direct . . . . . . . . . . . . . . . .
Entreprises dinvestissement direct dans un investisseur direct (investissement
rebours) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Entre entreprises soeurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Bnfices rinvestis (investisseur direct dans des entreprises dinvestissement direct)

30999SNAA
3A9999NAA
3A9999AAA
AA000AAA
3AA100AAA
3AA110AAA
3AA120AAA
3AA130AAA
3AA200AAA

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEX II. PRSENTATION TYPE DE LA BALANCE DES PAIEMENTS


Codes donnes
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB000AAA
Investisseur direct dans des entreprises dinvestissement direct . . . . . . . . . . . . . . . . . . . 3AB100AAA
Entreprises dinvestissement direct dans un investisseur direct (investissement
rebours) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB200AAA
Entre entreprises soeurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB300AAA
Accroissement net des passifs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3A9999LAA
Actions et autres participations et parts dans les fonds de placement . . . . . . . . . . . . . . . . . 3AA000LAA
Actions et autres participations autres que le rinvestissement des bnfices . . . . . . . . 3AA100LAA
Investisseur direct dans des entreprises dinvestissement direct . . . . . . . . . . . . . . . . 3AA110LAA
Entreprises dinvestissement direct dans un investisseur direct (investissement
rebours) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AA120LAA
Entre entreprises soeurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AA130LAA
Bnfices rinvestis (investisseur direct dans des entreprises dinvestissement direct) 3AA200LAA
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB000LAA
Investisseur direct dans des entreprises dinvestissement direct . . . . . . . . . . . . . . . . . . . 3AB100LAA
Entreprises dinvestissement direct dans un investisseur direct (investissement rebours)3AB200LAA
Entre entreprises soeurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB300LAA
INVESTISSEMENTS DE PORTEFEUILLE . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3B9999NAA
Acquisition nette dactifs financiers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3B9999AAA
Actions et parts dans les fonds de placement . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000AAA
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000ACA
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . 3BA000ADA
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000AGA
Autres secteurs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000AOA
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000AFA
Titres de crance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000AAA
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000ACA
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . 3BB000ADA
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000AGA
Autres secteurs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000AOA
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000AFA
Accroissement net des passifs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3B9999LAA
Actions et parts dans les fonds de placement . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000LAA
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000LCA
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . 3BA000LDA
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000LGA
Autres secteurs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000LOA
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000LFA
Titres de crance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LAA
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LCA
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . 3BB000LDA
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LGA
Autres secteurs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LOA
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LFA

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

F-xi

ANNEX II. PRSENTATION TYPE DE LA BALANCE DES PAIEMENTS


DRIVS FINANCIERS (AUTRES QUE RSERVES) ET OPTIONS SUR TITRES DES SALARIS . . . . . . . .
Acquisition nette dactifs financiers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Accroissement net des passifs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
AUTRES INVESTISSEMENTS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Acquisition nette dactifs financiers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres participations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres secteurs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Accroissement net des passifs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres participations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Droits de tirage spciaux (allocations). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres secteurs. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
AVOIRS DE RSERVE . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Or montaire . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Droits de tirage spciaux . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Position de rserve au FMI . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres avoirs de rserve . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
ERREURS ET OMISSIONS NETTES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

F-xii

Codes donnes
3C9999NAA
3C9999AAA
3C9999LAA
3D999SNAA
3D9999AAA
3DA000AAA
3DZ000AAA
3DZ000ACA
3DZ000ADA
3DZ000AGA
3DZ000AOA
3DZ000AFA
3D999SLAA
3DA000LAA
3DG00SLAA
3DY00SLAA
3DY00SLCA
3DY000LDA
3DY00SLGA
3DY000LOA
3DY000LFA
3E999SAAA
3EA000AAA
3EB00SAAA
3EC00SAAA
3ED000AAA
40999SNAA

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEX III. COMPOSANTES TYPES DE LA POSITION EXTRIEURE GLOBALE


Codes donnes
ACTIFS

....................................................................
Investissement direct . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Actions et autres participations et parts dans les fonds de placement . . . . . . . . . . . . . . . . . . .
Investisseur direct dans des entreprises dinvestissement direct . . . . . . . . . . . . . . . . . . .
Entreprises dinvestissement direct dans un investisseur direct (investissement
rebours) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Entre entreprises soeurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investisseur direct dans des entreprises dinvestissement direct . . . . . . . . . . . . . . . . . . .
Entreprises dinvestissement direct dans un investisseur direct (investissement
rebours) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Entre entreprises soeurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investissement(s) de portefeuille . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Actions et parts dans les fonds de placement . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres secteurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Titres de crance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres secteurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Drivs financiers (autres que les rserves) et options sur titres des salaris . . . . . . . . . . . . . . . .
Autres investissements . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres participations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres secteurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Avoirs de rserve . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Or montaire . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Droits de tirage spciaux . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Position de rserve au FMI . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres avoirs de rserve . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

80999SAAA
8A9999AAA
8AA000AAA
8AA100AAA
8AA200AAA
8AA300AAA
8AB000AAA
8AB100AAA
8AB200AAA
8AB300AAA
8B9999AAA
8BA000AAA
8BA000ACA
8BA000ADA
8BA000AGA
8BA000AOA
8BA000AFA
8BB000AAA
8BB000ACA
8BB000ADA
8BB000AGA
8BB000AOA
8BB000AFA
8C9999AAA
8D9999AAA
8DA000AAA
8DZ000AAA
8DZ000ACA
8DZ000ADA
8DZ000AGA
8DZ000AOA
8DZ000AFA
8E999SAAA
8EA000AAA
8EB00SAAA
8EC00SAAA
8ED000AAA

F-xiii

ANNEX III. COMPOSANTES TYPES DE LA POSITION EXTRIEURE GLOBALE


Codes donnes
PASSIFS

....................................................................
Investissement direct . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Actions et autres participations et parts dans les fonds de placement . . . . . . . . . . . . . . . . . . .
Investisseur direct dans des entreprises dinvestissement direct . . . . . . . . . . . . . . . . . . .
Entreprises dinvestissement direct dans un investisseur direct (investissement
rebours) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Entre entreprises soeurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investisseur direct dans des entreprises dinvestissement direct . . . . . . . . . . . . . . . . . . .
Entreprises dinvestissement direct dans un investisseur direct (investissement
rebours) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Entre entreprises soeurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Investissement(s) de portefeuille . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Actions et parts dans les fonds de placement . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres secteurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Titres de crance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres secteurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Drivs financiers (autres que les rserves) et options sur titres des salaris . . . . . . . . . . . . . . . .
Autres investissements . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres participations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Droits de tirage spciaux (allocations) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres instruments de dette . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banque centrale . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
tablissements de dpts autres que la banque centrale . . . . . . . . . . . . . . . . . . . . . . . . .
Administrations publiques . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Autres secteurs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Dont : Autres socits financires . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

80999SLAA
8A9999LAA
8AA000LAA
8AA100LAA

POSITION EXTRIEURE GLOBALE NETTE . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Taux de conversion : . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

80999SNAA
AEZFB

F-xiv

8AA200LAA
8AA300LAA
8AB000LAA
8AB100LAA
8AB200LAA
8AB300LAA
8B9999LAA
8BA000LAA
8BA000LCA
8BA000LDA
8BA000LGA
8BA000LOA
8BA000LFA
8BB000LAA
8BB000LCA
8BB000LDA
8BB000LGA
8BB000LOA
8BB000LFA
8C9999LAA
8D999SLAA
8DA000LAA
8DG00SLAA
8DY00SLAA
8DY00SLCA
8DY000LDA
8DY00SLGA
8DY000LOA
8DY000LFA

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEXE IV. SYSTEME DE CODIFICATION DU FMI POUR LA BALANCE :


DES PAIEMENTS ET LA POSITION EXTRIEURE GLOBALE

La structure de codification comprend les cinq segments ci-aprs avec une longueur fixe.
<agrgat> 2 chiffres : le premier chiffre indique le compte dont la srie relve (par exemple, compte des transactions
courantes, compte de capital, compte financier ou position extrieure globale) et le deuxime, la section dont la srie
relve au sein du compte.
<poste de la balance des paiements> 4 chiffres : indique toutes les composantes types, et certaines composantes
des renseignements supplmentaires.
<position> 1 chiffre : indique lunit comptable lie la mesure de la valeur pour le concept.
< secteur rsident> 1 chiffre : indique le secteur intrieur li au concept.
<chance> 1 chiffre : indique lchance pour le concept le cas chant.
Le code doit inclure les cinq segments et se prsente comme suit : <agrgat><poste de la balance des
paiements<>position><secteur rsident><chance>.

Code

Agrgat dans la balance des paiements et la position extrieure globale (PEG)

10

Compte des transactions courantes

1Z

Biens et services

1A

Biens

1B

Services

1C

Revenu primaire

1D

Revenu secondaire

20

Compte de capital

30

Compte financier

3A

Investissements directs

3B

Investissements de portefeuille

3C

Drivs financiers (autres que les rserves) et options sur titres des salaris

3D

Autres investissements

3E

Avoirs de rserve

4Y

Solde des comptes des transactions courantes, de capital et financier

40

Erreurs et omissions nettes

4Z

Rserves et postes connexes

80

Actifs/passifs (PEG)

8A

Investissements direct (PEG)

8B

Investissements de portefeuille (PEG)

8C

Drivs financiers (autres que les rserves) et options sur titres des salaris (PEG)

8D

Autres investissements (PEG)

8E

Avoirs de rserve (PEG)

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

F-xv

ANNEXE IV. SYSTEME DE CODIFICATION DU FMI POUR LA BALANCE :


DES PAIEMENTS ET LA POSITION EXTRIEURE GLOBALE (fin)

Des exemples des codes pour les Autres investissements du compte financier figurent cidessous

Autres investissements

3D9999NAA

Acquisition nette dactifs financiers

3D9999AAA

Accroissement net des passifs

3D9999LAA

Autres participations

3DA000NAA

Acquisition nette dactifs financiers

3DA000AAA

Accroissement net des passifs

3DA000LAA

Numraire et dpts

3DB000NAA

Acquisition nette dactifs financiers


Banque centrales

F-xvi

3DB000AAA
3DB000ACA

Court terme

3DB000ACS

Long terme

3DB000ACL

Autorits montaires (le cas chant

3DB000AMA

Court terme

3DB000AMS

Long terme

3DB000AML

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEXE V. CADRE CONCEPTUEL DE LA BALANCE DES PAIEMENTS


ET DE LA POSITION EXTRIEURE GLOBALE

La prsente annexe est tire du MBP6. Les paragraphes et les


chapitres qui y sont cits se rapportent ceux du MBP6; des fins de
clarification, la mention du MBP6 est ajoute au texte cit pour
chaque rfrence un paragraphe ou chapitre du MBP6. [] indique quune partie seulement du paragraphe est cit.

Cadre global
2.2 Les comptes internationaux dune conomie retracent les relations conomiques entre les rsidents de cette
conomie et les non-rsidents. Ils comprennent :
a) la position extrieure globale (PEG) tat qui donne
la valeur un moment dtermin :
des actifs financiers des rsidents dune conomie qui
sont des crances sur les non-rsidents, ou sont dtenus
sous la forme dor physique titre davoirs de rserve; et
des passifs des rsidents dune conomie lgard des
non-rsidents;
b) la balance des paiements tat o sont rsumes les
transactions conomiques entre rsidents et non-rsidents
pour une priode donne;
c) les comptes des autres changements des actifs et passifs financiers tat qui retrace les autres flux, tels que
les rvaluations et rapproche la balance des paiements et
la PEG pour une priode donne en montrant les changements dus des vnements conomiques autres que les
transactions entre rsidents et non-rsidents.
2.3 Les comptes internationaux fournissent un cadre danalyse intgr des relations conomiques internationales
dun pays, notamment de ses rsultats conomiques internationaux, de sa politique de change, de la gestion de
ses rserves et de sa vulnrabilit externe. Une tude dtaille de l'utilisation des donnes sur les comptes internationaux est prsente au chapitre 14 du MBP6, Principaux aspects de l'analyse de la balance des paiements et
de la position extrieure globale.

Position extrieure globale


2.8 La position extrieure globale (PEG) tat qui donne la
valeur un moment dtermin : des actifs financiers des rsidents
dune conomie qui sont des crances sur les non-rsidents, ou sont
dtenus sous la forme dor physique titre davoirs de rserve; et
des passifs des rsidents dune conomie lgard des non-rsidents. La diffrence entre les actifs et les passifs est la position nette dans la PEG et reprsente soit une crance nette
sur le reste du monde, soit un engagement net envers lui.

Balance des paiements


2.12 La balance des paiements est un tat statistique o sont rsumes les transactions entre rsidents et non-rsidents durant une
priode donne. Elle comprend le compte des biens et services, le
compte du revenu primaire, le compte du revenu secondaire, le
compte de capital et le compte financier. Dans le systme den-

registrement en partie double qui est utilis dans la balance des paiements, chaque transaction fait lobjet de
deux enregistrements et la somme des montants ports au
crdit est gale celle des montants inscrits au dbit. []
2.13 Les diffrents comptes de la balance des paiements
se distinguent par la nature des ressources conomiques
fournies et reues.

Flux et positions
3.2 Les flux dsignent des actions et les effets dvnements
conomiques survenus au cours dune priode comptable, et les
positions dsignent le niveau des actifs ou des passifs un certain
moment. Les flux internationaux sont enregistrs dans les
comptes comme transactions (balance des paiements) et
autres changements du compte des actifs et passifs financiers. Les flux et les positions sont intgrs de sorte
que toutes les variations des positions entre deux points
dans le temps sont entirement expliques par les flux enregistrs. Les positions et les flux dactifs et passifs financiers sont groups conformment la classification
fonctionnelle et la classification par instrument des actifs et passifs financiers. Les transactions non financires
sont en gnral groupes selon leur nature et leurs caractristiques. Les positions des actifs et passifs financiers extrieurs sont prsents dans la position extrieure globale.Systme denregistrement en partie double

Flux
3.3 Les flux reprsentent la cration, la transformation,
lchange, le transfert ou lextinction de valeurs conomiques; ils
entranent des changements du volume, de la composition ou de la
valeur des actifs et passifs dune unit institutionnelle. Cest sur
cette classification que reposent les comptes de flux, qui
sont prsents aux chapitres 813 du MBP6. Les flux peuvent aussi tre classs en a) flux associs des transactions et b) autres flux.

a. Transactions
3.4 Une transaction est une interaction entre deux units institutionnelles qui a lieu par accord mutuel ou par leffet de la loi et
comporte un change de valeur ou un transfert. Les transactions
sont classes selon la nature de la valeur conomique
fournie savoir des biens ou des services, un revenu
primaire, un revenu secondaire, des transferts de capital,
des actifs non financiers non produits, des actifs ou des
passifs financiers. Les chapitres 8 et 1013 traitent des
transactions. Lexpression accord mutuel signifie que les
units institutionnelles ont connaissance de linteraction
au pralable et quelles y consentent. Les transactions imposes par la loi sappliquent principalement certaines
transactions redistributives, comme le paiement dimpts,
damendes et de pnalits. Bien que les impts ou pnalits ne soient imposs par des dcisions administratives
ou judiciaires qu des units institutionnelles dtermines, la collectivit toute entire admet et accepte

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

F-xvii

ANNEXE V. CADRE CONCEPTUEL DE LA BALANCE DES PAIEMENTS


ET DE LA POSITION EXTRIEURE GLOBALE (suite)

lobligation de payer les impts et les pnalits. En raison


de lchange de valeur, une transaction consiste en deux
flux conomiques, un dans chaque sens par exemple,
des biens sont fournis par une partie en change de monnaie fournie par lautre. La dfinition stend aux actions
internes une unit institutionnelle quil est analytiquement utile de traiter comme des transactions, souvent
parce que lunit exerce deux rles diffrents, comme dans
le cas o une de ses parties fonctionne comme une succursale. La dfinition est galement tendue aux transferts
sans contrepartie, avec lidentification du transfert comme
le flux correspondant la valeur conomique fournie. Les
transactions enregistres dans les comptes internationaux
ont lieu entre deux units institutionnelles, l'une rsidente
de l'conomie dclarante et l'autre non-rsidente.

Types de transactions
3.12 Les transactions peuvent prendre des formes trs
diverses. Les transactions peuvent tre classes selon
qu'elles sont des changes ou des transferts (voir paragraphe 3.13 du MBP6) et selon qu'elles sont montaires
ou non montaires (voir paragraphe 3.14 du MBP6). En
outre, certaines transactions sont recomposes par reformulation et dcomposition (voir paragraphes 3.16-3.17
du MBP6) tandis que d'autres peuvent tre imputes afin
de reflter la relation conomique sous-jacente (voir paragraphe 3.18 du MBP6). []

b. Autres flux
3.19 Les autres flux sont des changements de volume,
de valeur ou de classification dun actif ou dun passif qui
ne rsultent pas dune transaction entre un rsident et un
non-rsident. Les autres flux sont des phnomnes
conomiques vritables qui apprhendent les changements des actifs et des passifs entre les positions douverture et de clture qui ne sont pas dus des transactions.
Dans le cadre des comptes internationaux, les autres flux
ne sont enregistrs que pour les actifs et passifs financiers
qui reprsentent des crances sur des non-rsidents et des
obligations envers ceux-ci, ainsi que pour l'or physique
(voir paragraphe 3.24 du MBP6), car la position extrieure
globale ne concerne que les actifs et passifs financiers extrieurs.
3.20 Les autres flux couvrent divers changements des
actifs et passifs qui sont identifis analytiquement en deux
grands types :
a) Les autres changements du volume dactifs et passifs traduisent
dans les bilans les entres de nouveaux actifs et les sorties dactifs
et de passifs existants qui ne sont pas dues des interactions par
accord mutuel entre units institutionnelles (cest--dire des
transactions).
b) Les rvaluations (gains et pertes de dtention) dun actif ou
dun passif dcoulent de variations de leurs prix et/ou des taux de
change. Les comptes internationaux rpartissent ainsi les
F-xviii

rvaluations en celles qui sont dues des variations des


taux de change et celles qui sont dues dautres variations
de prix.

Positions
3.23 Les positions dsignent le niveau dactifs ou de passifs financiers un moment donn. Elles sont enregistres dans la
position extrieure globale. Dune manire gnrale, les
positions sont prsentes au dbut et en fin de la priode
comptable. Les changements de position entre deux dates
sont lis aux flux survenus au cours de cette priode et qui
comprennent les transactions et les autres flux.
3.24 Les actifs financiers sont des actifs conomiques
qui sont des instruments financiers. Les actifs financiers
comprennent les crances financires et, par convention,
lor montaire dtenu sous forme dor physique (y compris lor dtenu dans des comptes-or allous). Une crance
financire est un instrument financier qui est un engagement pour une contrepartie. Lor physique nest pas une
crance et na pas dengagement correspondant. Cependant il est trait comme un actif financier du fait de son
rle spcial comme moyen dchange financier dans les
paiements internationaux des autorits montaires et
comme actif de rserve dtenu par des autorits montaires.
3.25 La position extrieure globale couvre les actifs et
passifs financiers qui prsentent un caractre international. Toutes les crances financires impliquent deux
parties, elles ont donc un caractre international si la
crance est dtenue sur un non-rsident. De mme, tous
les engagements impliquent deux parties, ils ont donc un
caractre international sils sont dus envers des non-rsidents. La position extrieure globale est dcrite au
chapitre 7.

Systme comptable
3.26 Le systme comptable sur lequel reposent les
comptes internationaux est fond sur des principes
comptables gnraux. Pour comprendre le systme
comptable des comptes internationaux, on peut distinguer trois principes comptables
a) comptabilit verticale en partie double (appele simplement en comptabilit commerciale : comptabilit en
partie double);
b) comptabilit horizontale en partie double;
c) comptabilit en partie quadruple.

Comptabilit verticale en partie double


inscriptions correspondantes
3.27 La principale caractristique de la comptabilit verticale en partie double est que chaque transaction produit
au moins deux inscriptions correspondantes, quon
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEXE V. CADRE CONCEPTUEL DE LA BALANCE DES PAIEMENTS


ET DE LA POSITION EXTRIEURE GLOBALE (suite)

dsigne traditionnellement comme inscription au crdit et


inscription au dbit, dans les livres de la partie la transaction. Les comptes internationaux dune conomie
doivent tre tablis sur la base dune comptabilit verticale en partie double selon la perspective des rsidents de
cette conomie. Comme chaque transaction est soit un
change, soit un transfert, elle exige deux entres. Ce
principe garantit que le total de toutes les inscriptions au
crdit et celui de toutes les inscriptions au dbit sont
gaux, ce qui permet ainsi de vrifier la cohrence des
comptes dune unit donne. Les reclassements produisent aussi des inscriptions au crdit et au dbit. Les
autres flux ont leurs inscriptions correspondantes directement dans les variations de la valeur nette. De ce fait la
comptabilit verticale en partie double garantit lidentit
fondamentale du bilan dune unit, cest dire que la
valeur totale des actifs est gale la valeur totale des passifs plus celle de la valeur nette. La valeur totale des actifs
possds par une entit moins la valeur totale de ses passifs dfinit sa valeur nette. Dans les comptes internationaux, la position extrieure globale nette mesure les
crances financires nettes sur les non-rsidents plus l'or
physique dtenu comme or montaire. Ces termes sont
dfinis aux paragraphes 7.1-7.2 du MBP6.

Comptabilit horizontale en partie double


inscriptions de contrepartie
3.28 Le concept de comptabilit horizontale en partie
double est utile pour tablir des comptes qui refltent les
relations conomiques mutuelles entre deux units institutionnelles diffrentes de manire cohrente. Il signifie que
si lunit A fournit quelque chose lunit B, les comptes
de A comme de B prsentent la transaction pour le mme
montant: comme un paiement dans le compte de A et
comme une recette dans le compte de B. La comptabilit
horizontale en partie double garantit la cohrence de lenregistrement par les contreparties pour chaque catgorie de
transaction. Par exemple au niveau mondial, les dividendes
payables par toutes les conomies devraient tre gaux aux
dividendes recevoir par toutes les conomies.

Comptabilit en partie quadruple


3.29 Lapplication simultane de la comptabilit verticale et de la comptabilit horizontale en partie double
produit une comptabilit en partie quadruple, qui est le
systme comptable sur lequel repose lenregistrement des
transactions dans les comptes nationaux et dans les
comptes internationaux. De plus, les dfinitions, les classifications et les principes comptables des comptes internationaux dcoulent dune conception symtrique ainsi
que dun enregistrement symtrique par les conomies
partenaires. Le systme en partie quadruple traite de faon
cohrente de multiples parties ou groupes de parties des
transactions, dont chacune pratique une comptabilit verticale en partie double. Une seule transaction entre deux
parties donne ainsi lieu quatre inscriptions. Contrairement la comptabilit commerciale, les comptes internationaux traitent des interactions entre une multitude du-

nits en parallle, et exigent donc une attention particulire du point de vue de la cohrence. Comme le passif
dune unit se reflte dans lactif financier dune autre
unit, par exemple, ils doivent tre valus, situs
chronologiquement et classs de faon identique, afin
dviter des incohrences dans lagrgation des bilans des
units en totaux rgionaux ou mondiaux. Cela sapplique
galement toutes les transactions et autres flux qui influent sur les bilans des deux contreparties. Le traitement
en partie quadruple des transactions dans les comptes internationaux est ncessaire aux fins des comparaisons bilatrales et des donnes intgres mondiales.

Types dinscriptions comptables


3.30 Les comptes internationaux utilisent les conventions et terminologies suivantes pour lenregistrement des
flux. Dans le compte des transactions courantes et le
compte de capital et doprations financires, un crdit indique linscription dexportations, de revenu primaire recevoir, de transferts recevoir, et de cessions dactifs non
financiers non produits. Un dbit sert enregistrer linscription dimportations, de revenu primaire payer, de
transferts payer, et lacquisition dactifs non financiers
non produits.
3.31 Pour les transactions sur actifs et passifs financiers,
on utilise les termes acquisition nette dactifs financiers
et accroissement net de passifs. Les postes du compte
doprations financires sont enregistrs sur une base
nette pour chaque actif et passif financier sparment
(cest--dire quils refltent tous les changements dus
des inscriptions de crdit et de dbit pendant la priode
comptable). Lemploi des termes acquisition nette dactifs financiers et accroissement net de passifs met en relief lincidence du compte doprations financires sur la
position extrieure globale. Lemploi de ces termes simplifie galement linterprtation des donnes. Une variation
positive indique une augmentation des actifs ou des passifs et une variation ngative indique une diminution des
actifs ou passifs. Cependant, selon quelle portera sur des
actifs ou des passifs, laugmentation ou la diminution sera
interprte comme crdit ou comme dbit (pour un actif
un dbit est un accroissement; pour un passif un dbit est
une diminution). Bien que la prsentation des transactions
du compte doprations financires ne mette pas en relief
les dbits et les crdits, il importe de reconnatre et de
maintenir les identits comptables. Par exemple, un
crdit correspond toujours conceptuellement un dbit, ce
dernier signifiant soit l'augmentation d'un actif soit la rduction d'un passif (voir encadr 2.1 du MBP6). []

Principes pour le moment denregistrement


et lvaluation
3.39 Le MBP6 recommande d'employer la base des
droits constats pour dterminer le moment d'enregistrement des flux. La base des droits constats associe le
moment denregistrement la date des vnements donnant lieu aux flux de ressources effectifs. Avec la base des

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

F-xix

ANNEXE V. CADRE CONCEPTUEL DE LA BALANCE DES PAIEMENTS


ET DE LA POSITION EXTRIEURE GLOBALE (suite)

encaissements et dcaissements, le moment denregistrement pourrait diffrer considrablement de


la chronologie des activits conomiques et des
transactions auxquelles se rapportent les flux financiers. La comptabilit sur la base du paiement
exigible enregistre en gnral les transactions aprs
que les flux de ressources ont eu lieu, quoique les
longs dlais que causerait la base des encaissements
et dcaissements se trouvent rduits dans la plupart
des cas. Avec la comptabilit sur la base des engagements, lenregistrement prcde le moment des
flux de ressources effectifs.
3.40 La base des droits constats fournit linformation la plus complte car elle enregistre tous les
flux de ressources, notamment les transactions non
montaires, les transactions imputes et les autres
flux. Un enregistrement aussi complet assure lintgration des flux et des changements dans les bilans.
La base des droits constats est compatible avec la
manire dont les transactions, les autres flux et les
principaux agrgats conomiques (balance des
biens et des services, capacit/besoin de financement) sont dfinis. Elle est galement proche de la
comptabilit commerciale.

Moment d'enregistrement
a. Moment denregistrement
des transactions
3.41 Le transfert de proprit conomique est
llment central, dans la comptabilit sur la base
des droits constats, pour dterminer le moment
denregistrement des transactions de biens, dactifs
non financiers non produits et dactifs financiers. Lexpression proprit conomique reflte la ralit
conomique sous-jacente que les comptes
conomiques tentent de mesurer. La proprit
conomique prend en compte la dtention effective
des risques et avantages de la proprit. Les concepts de proprit conomique et de risques et
avantages qui y sont associs sont prsents plus en
dtail au paragraphe 5.3 du MBP6. Dun point de
vue conomique, un transfert de proprit signifie
que tous les risques, avantages, droits et responsabilits de la proprit ont en pratique t transfrs. En gnral, un transfert de la proprit lgale
implique aussi un transfert de la proprit
conomique. Dans certains cas, un transfert de
proprit conomique a lieu alors mme que la
proprit lgale demeure inchange (par exemple
le crdit-bail et les transactions entre une entreprise
et ses succursales trangres). Dans dautres cas, il
ny a aucun changement dans la proprit
conomique, alors mme que la proprit lgale a
t transfre. []
3.42 Les inscriptions des transactions en biens, actifs non financiers non produits et en actifs fiF-xx

nanciers possds par des units institutionnelles


sont faites au moment o la proprit conomique
de lactif sous-jacent est transfre. Lorsquun transfert de proprit conomique nest pas vident, le
changement est rput se produire (ou devenir
manifeste) au moment o les parties la transaction
lenregistrent dans leurs livres ou comptes.

b. Moment denregistrement des


autres flux
3.60 Les autres flux comprennent les autres
changements du volume dactifs et les rvaluations. Les autres changements du volume dactifs
sont habituellement des vnements discrets qui
saccumulent des moments prcis ou au cours de
priodes de temps assez brves. Les autres changements du volume dactifs, notamment les reclassements, sont enregistrs mesure quils se produisent. Les rvaluations peuvent se produire de
faon continue mesure que les prix et les taux de
change voluent. En pratique, les rvaluations sont
en gnral calcules entre deux points dans le temps
auxquels les actifs et passifs concerns sont valus.

valuation
3.67 Le prix du march dsigne la valeur dchange
courante, cest--dire la valeur laquelle les biens et autres
actifs, les services et le travail schangent, ou bien pourraient tre changs contre de la monnaie. Le prix du
march est la base de lvaluation dans les comptes
internationaux. Cette section dcrit les principes
gnraux dvaluation des flux et positions. L'valuation de types spcifiques de flux et de positions est
expose plus en dtail dans les chapitres correspondants du MBP6.

a. valuation des transactions


3.68 Le prix de march dune transaction est dfini
comme le montant de monnaie quun acheteur consent
payer pour acqurir ce que le vendeur consent lui vendre;
lchange a lieu entre parties indpendantes et sur la
base de considrations commerciales uniquement
ce quon appelle parfois une situation de pleine
concurrence.Ainsi, selon cette dfinition stricte, le
prix de march dsigne uniquement le prix dun
change dtermin dans les conditions stipules.
Un deuxime change d'une unit identique, mme
dans des conditions similaires, pourrait aboutir un
prix de march diffrent. Le prix de march dfini de
cette manire doit tre distingu clairement dun
prix cot sur le march, dun prix du march mondial, dun prix courant, dun juste prix marchand ou
de tout autre prix cens exprimer le caractre
gnral des prix dune classe dchanges censs tre
identiques plutt que le prix effectivement applicable un change dtermin. En outre, un prix de
march ne doit pas ncessairement tre interprt
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEXE V. CADRE CONCEPTUEL DE LA BALANCE DES PAIEMENTS


ET DE LA POSITION EXTRIEURE GLOBALE (suite)

comme lquivalent dun prix du march libre; en dautres


termes, une transaction de march ne doit pas tre considre comme ayant lieu exclusivement dans une situation de march purement concurrentiel. En ralit une
transaction marchande peut avoir lieu sur un march
structure de monopole, de monopsone ou de toute autre
structure. En fait, le march peut tre si troit quil est rduit une seule transaction, unique en son genre, entre
parties indpendantes.

b. valuation des autres flux


3.81 Les autres flux des comptes internationaux saisissent les variations de la position extrieure globale en actifs et passifs financiers qui ne sont pas dues des transactions. Les variations de la valeur de march des
positions dactifs et de passifs financiers entranent des
gains et pertes de dtention. Les gains et pertes de dtention peuvent saccumuler de faon continue. Un gain de
dtention apparat lorsque la valeur dun actif saccrot ou
que la valeur dun passif dcrot; une perte de dtention
apparat lorsque la valeur dun actif dcrot ou que la
valeur dun passif saccrot. La valeur des gains et pertes
de dtention encourus au cours dune priode comptable
indique les gains ou pertes nets de dtention des actifs et
des passifs sparment. En pratique, la valeur des gains et
pertes de dtention est calcule pour chaque actif et
chaque passif entre deux points dans le temps : le dbut
de la priode comptable (ou le moment o lactif a t acquis ou le passif souscrit) et la fin de la priode (ou le moment o lactif a t vendu ou le passif teint).
3.83 Les autres changements du volume dactifs et passifs financiers sont enregistrs aux prix de march quivalents dinstruments similaires. Pour la passation par pertes
et profits dinstruments financiers valus leurs valeurs
nominales, la valeur enregistre dans les autres changements du compte des actifs et passifs financiers doit correspondre leur valeur nominale antrieurement leur
passation par pertes et profits. Pour tous les reclassements
dactifs et de passifs, les valeurs des anciens et des nouveaux instruments doivent tre identiques.

c. valuation des positions d'actifs et de


passifs financiers
3.84 Les positions en actifs et passifs financiers doivent
gnralement tre values comme si elles avaient t acquises
dans des transactions sur le march la date de clture du bilan.
De nombreux actifs financiers sont rgulirement
changs sur les marchs et peuvent donc tre valus directement au moyen des prix cots sur ces marchs. Si les
marchs financiers sont ferms la date de clture du
bilan, les prix de march quil convient dutiliser aux fins
de lvaluation sont ceux en vigueur la prcdente date
la plus proche o les marchs taient ouverts. Les titres de
dette ont une valeur de march courante ainsi qu'une
valeur nominale, et des donnes supplmentaires sur les
valeurs nominales des positions en titres de dette peuvent

tre utiles certaines fins (voir au paragraphe 3.88 du


MBP6 la dfinition de la valeur nominale).
3.85 Pour valuer les actifs et passifs financiers qui ne
sont pas changs sur les marchs financiers ou ne sont
changs que peu frquemment, il faut recourir des
valeurs quivalant au prix du march. Pour ces actifs et
passifs, il est ncessaire destimer une juste valeur qui approche en fait le prix du march. La valeur actualise des
flux de trsorerie futurs peut galement servir de prix de
march approch, sous rserve de disposer dun taux dactualisation appropri.

Territoire conomique
4.3 Un territoire conomique est dfini au sens le plus
large comme une zone gographique ou une zone de
comptence au sujet de laquelle des statistiques sont requises. Les liens qui unissent les entits un territoire
conomique donn sont dfinis partir daspects tels que
la prsence physique et la comptence exerce par les autorits publiques du territoire. Ces aspects sont examins
dans la section du prsent chapitre consacre la rsidence (voir paragraphes 4.113-4.144 du MBP6).
4.4 Le concept de la zone soumise au contrle effectif
dune administration publique particulire est celui le plus
communment utilis pour dfinir un territoire
conomique. Aux fins de ltablissement des statistiques
mondiales et de leur communication au FMI, il importe
dobtenir des donnes sur lensemble des domaines qui
relvent dune administration publique particulire, y compris les zones spciales, mme si pour ses propres besoins
statistiques, ces zones sont exclues ou prsentes sparment. Les unions montaires ou conomiques constituent
un autre type de territoire conomique dont il sera question
lappendice 3 du MBP6. Les portions dune conomie, les
rgions ou lensemble du monde constituent dautres types
de territoires conomiques. Les territoires conomiques
sont un reflet de tous les champs possibles de la politique
ou de lanalyse macroconomique.
4.5 Le territoire conomique comprend
a) le territoire terrestre;
b) lespace arien;
c) les eaux territoriales, y compris les zones sur lesquelles
sont exercs les droits de pche ou dexploitation des
combustibles ou des minraux;
d) dans un territoire maritime, les les qui appartiennent
au territoire;
e) les enclaves territoriales situes dans le reste du monde.
Il sagit de terrains clairement dlimits (ambassades, consulats, bases militaires, stations scientifiques, bureaux
dinformation ou dimmigration, organismes daide, bureaux de reprsentation de banques centrales jouissant du

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International Monetary Fund. Not for Redistribution

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ANNEXE V. CADRE CONCEPTUEL DE LA BALANCE DES PAIEMENTS


ET DE LA POSITION EXTRIEURE GLOBALE (fin)

statut diplomatique, etc.) situs dans dautres territoires et utiliss par ltat qui en est propritaire ou
locataire des fins diplomatiques, militaires, scientifiques ou autres, avec laccord officiel des autorits
des pays dans lesquels ils sont physiquement situs.
Ces terrains peuvent tre partags avec dautres organisations, mais les activits qui sy droulent
doivent tre trs largement soustraites lapplication
des lois du pays daccueil pour quon puisse les considrer comme des enclaves. Les entits publiques
entirement assujetties aux lois du pays daccueil ne
sont pas considres comme des enclaves, mais
plutt comme des rsidentes du pays daccueil.
4.6 Le territoire conomique a simultanment les
dimensions dune zone de comptence juridique et
dun emplacement physique, de sorte que les socits cres en vertu de la loi en sont partie intgrante. Les concepts de territoire conomique et de
rsidence sont tablis pour faire en sorte que chaque
unit institutionnelle ne soit rsidente que dun seul
territoire conomique. Lutilisation dun territoire
conomique pour dlimiter la porte des statistiques conomiques signifie que chaque membre
dun groupe dentreprises affilies fait partie de lconomie dont il est rsident, et non de celle o se
trouve son sige. tant donn l'importance attache
au territoire conomique aux fins de l'tablissement
des donnes, il arrivera dans certains cas qu'une entit juridique soit scinde, des fins statistiques, en
units distinctes situes dans des territoires diffrents, comme on l'explique en dtail aux paragraphes 4.26-4.49 du MBP6.

Dfinition dune conomie


4.11 Une conomie comprend toutes les units institutionnelles qui rsident sur un territoire conomique particulier. []

Units
4.13 Les principales caractristiques dune unit institutionnelle peuvent tre dcrites comme suit :

F-xxii

a) elle est en droit de possder, de plein droit, des


biens et des actifs; elle est donc capable dchanger
la proprit de biens ou dactifs dans des oprations ralises avec dautres units institutionnelles;
b) elle est capable de prendre des dcisions
conomiques et de sengager dans des activits
conomiques pour lesquelles elle est tenue directement responsable et redevable en droit;.
c) elle est capable de souscrire des dettes en son
nom propre, de prendre dautres obligations ou des
engagements futurs, et de conclure des contrats;.
d) il existe pour lunit un ensemble complet de
comptes, y compris un bilan, ou bien il serait possible
et significatif, la fois dun point de vue conomique
et dun point de vue juridique, dtablir un ensemble
complet de comptes sils taient demands.
On assimile galement des units institutionnelles
les filiales et les units rsidentes fictives (comme il
est expliqu aux paragraphes 4.26-4.44 du MBP6)
mme si elles ne rpondent pas entirement aux
critres a), b) et c).
4.14 Il existe, dans le monde rel, deux types principaux dunits qui peuvent rpondre la dfinition
dunit institutionnelle :
a) les mnages personnes physiques ou groupes
de personnes physiques;
b) les socits (y compris les quasi-socits), les institutions sans but lucratif et les units dadministration publique entits juridiques ou sociales, dont
lexistence est reconnue par la loi ou par la socit indpendamment des personnes ou des autres entits
qui peuvent en dtenir la proprit ou le contrle.

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEXE VI. CLASSIFICATION ET COMPOSANTES TYPES DE LA BALANCE


DES PAIEMENTS ET DE LA POSITION EXTRIEURE GLOBALE

Composantes types et postes pour mmoire


1.15 Une liste des postes types qui est utilise
pour prsenter et communiquer la balance des
paiements et la position extrieure globale figure
lappendice 9 du MBP6. Les postes types se
subdivisent en Composantes types et Postes
pour mmoire.

a) Les composantes types sont des postes qui font


partie intgrante du systme et contribuent aux totaux et
aux soldes.
b) Les postes pour mmoire font partie de la prsentation type, mais ne sont pas utiliss pour calculer les totaux et les soldes. []
En outre,

Biens
1. Marchandises gnrales
10.13 Les marchandises gnrales, en termes de
balance des paiements, recouvrent les biens dont la proprit conomique est transfre entre un rsident et un
non-rsident et qui ne sont pas inclus dans les catgories
spcifiques suivantes : biens faisant lobjet de ngoce international (voir paragraphes 10.41 10.49 du
MBP6), or non montaire (paragraphes 10.5010.54
du MBP6) et certaines composantes des postes voyages
(paragraphe 10.94 du MBP6), construction (paragraphe 10.101 du MBP6) et biens et services publics
n.i.a. (paragraphe 10.173 du MBP6).

2. Autres biens
a.

c) Les postes supplmentaires ne font pas partie de


la prsentation type, mais sont tablis en fonction des
circonstances de lconomie concerne, compte tenu
de lintrt des dirigeants et des analystes, ainsi
que de leur cot (voir les postes en italique
lappendice 9 du MBP6).

Classification principale et dtaille


2.13 Les diffrents comptes de la balance des
paiements se distinguent par la nature des
ressources conomiques fournies et reues.

Compte des transactions courantes


2.14 Le compte des transactions courantes retrace

les flux de biens, de services, de revenus primaires et de


revenus secondaires entre rsidents et non-rsidents.
Cest un important groupe de comptes lintrieur de la balance des paiements. []
2.15 Le solde de ces comptes est connu sous
lappellation de solde des transactions courantes.
Ce solde est gal la diffrence entre la somme
des exportations et du revenu recevoir et la
somme des importations et du revenu payer (il
sagit des exportations et importations de biens
et services, et le revenu recouvre la fois le
revenu primaire et secondaire). Comme le montre le chapitre 14 du MBP6, Principaux aspects
de l'analyse de la balance des paiements et de la
position extrieure globale, la valeur du solde
des transactions courantes est gale l'cart
pargne-investissement pour l'conomie. Ainsi,
le solde des transactions courantes entre dans la
comprhension des transactions intrieures.

Compte des biens et services


10.1 Le compte des biens et services retrace les
transactions sur des composantes qui sont les produits
des activits de production.

Biens faisant lobjet de ngoce


international

10.41 On entend par ngoce international lachat


de biens par un rsident (de lconomie qui tablit la
balance des paiements) un non-rsident, et leur
revente ultrieure un autre non-rsident sans que les
biens entrent dans lconomie en question. Il y a ngoce international de biens lorsque leur possession physique par le propritaire nest pas ncessaire pour que la transaction ait lieu. []

b. Or non montaire
10.50 Lor non montaire recouvre la totalit
de lor autre que montaire. L'or montaire, dfini
aux paragraphes 5.74-5.75 du MBP6, est la proprit des autorits montaires et dtenu comme
avoir de rserve. L'or non montaire peut prendre
une forme physique (or physique sous forme de
pices, lingots ou barres d'une puret d'au moins
995 millimes, y compris l'or dtenu dans les
comptes or allous), de poudre et d'autres formes
non ouvres ou semi-manufactures. Les bijoux,
montres, etc., qui contiennent de lor sont classs
au poste des marchandises gnrales, et non
celui de lor non montaire. []

Services
a.

Services de fabrication fournis sur


des intrants physiques dtenus par
des tiers

10.62 Les services de fabrication fournis sur des intrants physiques dtenus par des tiers recouvrent les services de transformation, dassemblage, dtiquetage,
demballage, etc. fournis par des entreprises qui ne sont
pas les propritaires des biens en question. Les services
de fabrication sont fournis par une entit qui ne
dtient pas la proprit des biens et qui est paye
par leur propritaire en change de ses services.

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

F-xxiii

ANNEXE VI. CLASSIFICATION ET COMPOSANTES TYPES DE LA BALANCE


DES PAIEMENTS ET DE LA POSITION EXTRIEURE GLOBALE (suite)

Dans pareils cas, il ny a pas transfert de proprit, et la transaction entre le prestataire des services et le propritaire nest pas enregistre dans
les marchandises gnrales.

b.

Services dentretien et de
rparation n.i.a.

10.72 Les services dentretien et de rparation


n.i.a. recouvrent les travaux dentretien et de rparation effectus par des rsidents sur des biens
qui appartiennent des non-rsidents (et vice
versa). Les rparations peuvent tre faites sur le
site du rparateur ou ailleurs. []

c. Transports
10.74 Le transport est le dplacement des personnes et des biens d'un lieu un autre et recouvre les services connexes d'appui et auxiliaires, ainsi que les services postaux et de messagerie. Les transports
peuvent tre classs selon :

a) le mode de transport, savoir transports


maritime, arien ou autres. (Les autres transports
peuvent tre subdiviss en transports ferroviaires, routiers, par voies navigables intrieures,
par pipeline et transports spatiaux ainsi que distribution dlectricit); et
b) lobjet du transport passagers ou fret.
d. Voyages
10.86 Au crdit, les voyages recouvrent les biens et
services que les non-rsidents acquirent dans une
conomie, pour leur propre usage ou des fins de
cadeaux, au cours de leur sjour dans cette conomie.
Au dbit, les voyages recouvrent les biens et services que
les rsidents dune conomie acquirent dans dautres
conomies, pour leur propre usage ou des fins de
cadeaux, au cours de leur sjour dans ces conomies.
Les biens et services peuvent tre achets par les
personnes concernes, ou par un tiers pour leur
compte. Par exemple, les voyages titre professionnel peuvent tre pays ou rembourss par
un employeur, les frais dinscription et de sjour
dun tudiant peuvent tre pays par ltat, ou
les frais de sant peuvent tre pays ou rembourss par ltat ou par un assureur. Les biens
et services fournis titre gratuit par le producteur
sont eux aussi classs ce poste, par exemple les
cours et la pension offerts par une universit.
10.87 Les composantes types des voyages
sont les voyages titre professionnel et les voyages titre personnel, avec prsentation de donnes supplmentaires pour les groupes prsentant un intrt particulier, tels que les travailleurs
frontaliers, saisonniers et autres travailleurs temF-xxiv

poraires. Une ventilation supplmentaire des


voyages par type de biens et de services est suggre (voir le paragraphe 10.95 du MBP6).
e. Construction
10.101 La construction recouvre la cration, la
rnovation, la rparation ou lagrandissement dactifs fixes sous la forme de btiments, damnagements de terrains relevant de lingnierie, et autres
constructions dingnierie telles que les routes,
ponts, barrages, etc. Ils incluent en outre les
travaux dinstallation et dassemblage correspondants. Ils englobent les travaux de prparation des
chantiers et de construction gnrale, ainsi que les
services spcialiss tels que les services de peinture, de plomberie et de dmolition. Enfin, ils recouvrent la gestion des projets de construction.
10.103 Si les oprations extrieures d'une
entreprise de construction sont suffisamment
importantes, elles correspondent une succursale rsidente de l'conomie o elles se
droulent (voir les paragraphes 4.27-4.29 du
MBP6). Par consquent, un projet de construction grande chelle dont lexcution est confie une entreprise non rsidente et prend un
an ou plus, donnera gnralement lieu la cration dune succursale rsidente. Donc, une relation dinvestissement direct entre la socit
mre et la succursale serait tablie. Des biens et
services peuvent tre changs entre la succursale et la socit mre, tels que des matriaux
de construction. Du fait dun tel traitement, les
contrats de construction couverts dans les statistiques du commerce international des services sont gnralement court terme.

f. Services dassurance et de pension


10.109 Les services dassurance et de pension
recouvrent lassurance vie et les annuits dassurance vie, lassurance dommages, la rassurance, lassurance du fret, les pensions, les
garanties standard et les services auxiliaires dassurances, de pension et de garantie standard. De
plus amples informations sur les services d'assurance et de pension sont fournies l'appendice 6c du MBP6.

g. Services financiers
10.118 Les services financiers recouvrent les
services des intermdiaires financiers et les services auxiliaires, lexception de ceux des socits dassurance et des fonds de pension. Ces
services incluent ceux qui sont gnralement
fournis par les banques et autres socits financires. Ils comprennent la collecte des dpts et
loctroi de prts, les lettres de crdit, les services
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International Monetary Fund. Not for Redistribution

ANNEXE VI. CLASSIFICATION ET COMPOSANTES TYPES DE LA BALANCE


DES PAIEMENTS ET DE LA POSITION EXTRIEURE GLOBALE (suite)

de carte de crdit, les commissions et frais lis


aux oprations de crdit-bail, daffacturage, de
garantie et de compensation des paiements. Y
sont galement inclus les services de conseil financier, la conservation dactifs financiers ou
dor physique, la gestion dactifs financiers, les
services de surveillance et de contrle, la fourniture de liquidits, les services de prise en charge
de risques autres que lassurance, les services lis
aux fusions et acquisitions, les services de notation de crdit, les services boursiers et les services de fiducie.

les services de comptabilit, est incluse dans la


composante approprie du poste des autres services aux entreprises, mme si ces services sont
en totalit fournis par tlphone, par ordinateur
ou par linternet. Seuls les montants payer
pour la transmission doivent tre classs dans
les services de tlcommunications; le contenu
tlcharg doit tre enregistr au poste appropri (services dinformatique, dinformation, audiovisuels, etc.).

10.119 Les rmunrations de services financiers peuvent prendre la forme de :

Inclut : services de recherche et dveloppement; services spcialiss et de conseil en gestion; services techniques, services lis au commerce et autres services aux entreprises; services
de traitement des dchets et de dpollution, services agricoles et miniers; services de locationexploitation; services lis au commerce; et autres
services aux entreprises.

a) frais explicites;
b) marges sur les oprations dachat et
de vente;
c) frais de gestion dduits des revenus de la
proprit recevoir dans le cas des entits dtentrices dactifs; ou
d) carts entre le taux d'intrt payer et le
taux de rfrence sur les prts et dpts (appels
services dintermdiation financire indirectement mesurs (SIFIM).
h. Frais pour usage de la
proprit intellectuelle n.i.a.

j.

k.

Autres services aux entreprises

Services personnels, culturels et


relatifs aux loisirs

10.161 Les services personnels, culturels et


relatifs aux loisirs comprennent i) les services audiovisuels et connexes; et ii) les autres services
personnels, culturels et relatifs aux loisirs.

l.

Biens et services des administrations


publiques n.i.a.

10.137 Les frais pour usage de la proprit intellectuelle n.i.a. recouvrent

10.173 Les biens et services des administrations publiques n.i.a. recouvrent

a) les frais pour utilisation des droits de proprit (par exemple brevets, marques commerciales, droits dauteur, procds de fabrication et
dessins industriels, y compris secrets de fabrication, franchisage). Ces droits peuvent tre le rsultat dactivits de recherche et dveloppement
ainsi que de commercialisation; et

a) les biens et services fournis ou reus par


des enclaves telles que les ambassades, les bases
militaires et les organisations internationales;

b) les frais de licence pour reproduire et/ou


distribuer la proprit intellectuelle incorpore
dans les uvres originales ou prototypes crs
(tels que les droits dauteur sur les livres et manuscrits, les logiciels informatiques, les uvres
cinmatographiques et les enregistrements
sonores) et droits connexes (par exemple, pour
les spectacles devant public et la retransmission
par tlvision/cble/satellite). []
i. Services de tlcommunications,
dinformatique et dinformation
10.141 Les services d'informatique et de tl-

communications se dfinissent par leur nature et


non par leur mode de livraison. Par exemple, la
prestation de services aux entreprises, tels que

b) les biens et services achets lconomie


daccueil par les diplomates, les effectifs consulaires et le personnel militaire en poste ltranger, ainsi que par les personnes qui sont
leur charge; et
c) les services fournis ou reus par les administrations publiques et non inclus dans dautres
catgories de services. []

Compte du revenu primaire


Les comptes internationaux distinguent les
catgories suivantes de revenus primaires :
a) rmunration des salaris;
b) dividendes;
c) bnfices rinvestis;
d) intrts;

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

F-xxv

ANNEXE VI. CLASSIFICATION ET COMPOSANTES TYPES DE LA BALANCE


DES PAIEMENTS ET DE LA POSITION EXTRIEURE GLOBALE (suite)

e) revenus d'investissements attribuables aux


dtenteurs de polices d'assurance et de garanties
standard ainsi qu'aux ayants droit d'organismes
de retraite
f) loyers;
g) impts et subventions sur les produits et la
production. []

Revenus d'investissement et
catgories fonctionnelles
1. Revenus des investissements directs
11.96 Ils se composent de tous les revenus
dinvestissement provenant dinvestissements
directs entre des units institutionnelles rsidentes et non rsidentes. []
11.97 Les relations d'investissement direct
sont dfinies aux paragraphes 6.8- 6.24 du
MBP6. On peut distinguer trois catgories de relations dinvestissement direct et de flux de
revenus qui y sont lis :

a) Linvestissement dinvestisseurs directs


dans des entreprises dinvestissement direct.
Cette catgorie se compose des flux de revenus
dinvestissement (bnfices distribus, bnfices
rinvestis et intrts) entre linvestisseur direct et
ses entreprises dinvestissement direct (que les
relations soient ou non immdiates).

3. Revenus des autres investissements


11.106 Les revenus des autres investissements comprennent les flux, entre units institutionnelles rsidentes et non rsidentes, relatifs
aux lments suivants: intrts sur les dpts, les
prts, les crdits commerciaux et avances ainsi
que sur dautres sommes recevoir ou payer;
revenus des autres participations dans le capital
et de parts dans les fonds de placement qui ne
sont classs dans aucune autre catgorie fonctionnelle; revenus dinvestissement attribuables
aux dtenteurs de polices dassurance, aux bnficiaires de garanties standard et aux ayants droit
des fonds de pension. Les intrts payer sur les
allocations de DTS figurent aussi dans les autres
revenus dinvestissement. Par ailleurs, on doit inclure dans ces revenus les frais pays dans le
cadre de prts d'or non montaire. []

4. Revenus des actifs de rserve


11.109 [...] Les revenus d'investissement des
avoirs de rserve comprennent les produits sur
actions et parts de fonds de placement ainsi que
des intrts. [...] Si les revenus d'avoirs de rserve
ne sont pas disponibles pour la publication, on
doit les enregistrer dans les autres investissements, en intrts.

Compte du revenu secondaire

b) Linvestissement rebours (dfini au paragraphe 6.40 du MBP6). Ce type de relation


(dfini au paragraphe 6,40) comprend les flux de
revenus dinvestissement au titre des engagements des investisseurs directs envers leurs entreprises dinvestissement direct et des crances
des entreprises dinvestissement direct sur leurs
investisseurs directs.

12.1 Le compte du revenu secondaire prsente les


transferts courants entre rsidents et non-rsidents.
Divers types de transferts courants sont enregistrs ce compte pour montrer leur rle dans le
processus de rpartition du revenu entre
conomies. Les transferts peuvent tre en
numraire ou en nature. []

c) Entre entreprises surs ( actionnaire commun). Il sagit des flux de revenus dinvestissement entre toutes les entreprises qui appartiennent au mme groupe dinvestissement direct.

12.7 Un transfert est une criture qui correspond


la fourniture dun bien, dun service, dun actif financier
ou dun autre actif non produit par une unit institutionnelle une autre unit institutionnelle sans la contrepartie dun lment de valeur conomique. []

Chacun de ces revenus d'investissements directs peut se prsenter sous forme de dividendes,
de prlvements sur les bnfices de quasi-socits et dintrts. Les bnfices rinvestis ne
sont attribus aux investisseurs directs que si
leur participation atteint le seuil de 10%. []

2. Revenus d'investissements
de portefeuille
11.103 Ils se composent des flux de revenus
entre rsidents et non-rsidents qui dcoulent de
la dtention dactions et de titres de crance
F-xxvi

autres que ceux classs dans les investissements


directs ou les avoirs de rserve. []

12.20 Les comptes internationaux identifient


les types de transferts courants suivants :

Transferts personnels
Autres transferts courants
a) impts courants sur le revenu, le patrimoine, etc.,
b) cotisations sociales,
c) prestations sociales,
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ANNEXE VI. CLASSIFICATION ET COMPOSANTES TYPES DE LA BALANCE


DES PAIEMENTS ET DE LA POSITION EXTRIEURE GLOBALE (suite)

d) primes nettes dassurance-dommages,

f) coopration internationale courante,

base nette et sparment pour les actifs et les


passifs financiers (cest--dire que les transactions nettes sur actifs financiers correspondent
lacquisition dactifs moins la rduction dactifs,
et non aux actifs moins les passifs). []

g) transferts courants divers. []

Erreurs et omissions nettes

e) indemnits nettes dassurance-dommages,

12.21 Les transferts personnels comprennent tous les


transferts courants en espces ou en nature effectus par
des mnages rsidents des mnages non rsidents ou
reus de mnages non rsidents par des mnages rsidents. Les transferts personnels comprennent
donc tous les transferts courants entre particuliers
rsidents et non rsidents, quelles que soient :

a) les sources de revenu de l'expditeur [...]


b) les relations entre les mnages [...]

Compte de capital
2.16 Le compte de capital fait apparatre les
critures de crdit et de dbit relatives aux actifs
non financiers non produits et aux transferts en
capital entre rsidents et non rsidents. Ce
compte enregistre les acquisitions et cessions
dactifs non financiers non produits, tels que les
terrains vendus aux ambassades et les ventes de
baux et de licences, ainsi que les transferts en capital, cest--dire les cas o une partie fournit des
ressources des fins de transactions en capital
sans que rien qui ait une valeur conomique ne lui
soit directement fourni en change. Ce compte est
dcrit plus en dtail au chapitre 13 du MBP6.

2.24 En principe, les comptes de la balance


des paiements sont quilibrs, mais, dans la pratique, des dsquilibres sont causs par les imperfections des donnes-source et des mthodes
dtablissement des statistiques. Ce dsquilibre,
caractristique courante des donnes de balance
des paiements, est dnomm erreurs et omissions nettes et il faut en rendre compte sparment dans les donnes publies. Il ne doit pas
tre inclus sans distinction dans les autres
postes. Les erreurs et omissions nettes sont calcules par soustraction : elles sont gales la capacit ou au besoin de financement tirs du
compte financier moins le poste correspondant
des comptes des transactions courantes et de
capital. En consquence, une valeur positive des
erreurs et omissions nettes dnote les tendances
globales suivantes

a) la valeur des transactions portes au crdit


des comptes des transactions courantes et de
capital est trop faible; et/ou
b) la valeur des transactions portes au dbit
des comptes des transactions courantes et de
capital est trop leve; et/ou

13.8 Les actifs non financiers non produits

c) la valeur des augmentations nettes des actifs au compte financier est trop leve; et/ou

a) ressources naturelles;

d) la valeur des augmentations nettes des


passifs au compte financier est trop faible.

consistent en :

b) contrats, baux et licences; et


c) actifs de commercialisation (et lments incorporels du fonds de commerce).
13.19 Les transferts en capital sont des transferts

pour lesquels la proprit dun actif (autre que des espces ou des stocks) est transfre dune partie une
autre; ou qui obligent lune ou les deux parties acqurir ou cder un actif (autre que des espces ou des
stocks); ou pour lesquels un engagement est annul par
le crancier. []

(Lorsque la valeur des erreurs et omissions


nettes est ngative, ces tendances sont inverses.)

Compte financier et position


globale extrieure

Enregistrement brut ou net

2.17 Le compte financier fait apparatre lacquisition et la cession nettes dactifs et passifs financiers. Ce compte est dcrit au chapitre 8 du
MBP6. Les transactions du compte financier sont
enregistres la balance des paiements et, en raison de leur effet sur le stock dactifs et de passifs,
figurent galement dans ltat intgr de la PEG.

2.19 Aux comptes des transactions courantes


et de capital, les transactions sont comptabilises
sur une base brute. Par contre, au compte financier, les transactions sont enregistres sur une

2.18 La somme des soldes des comptes des


transactions courantes et de capital reprsente la
capacit (excdent) ou le besoin de financement
(dficit) de lconomie lgard du reste du

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F-xxvii

ANNEXE VI. CLASSIFICATION ET COMPOSANTES TYPES DE LA BALANCE


DES PAIEMENTS ET DE LA POSITION EXTRIEURE GLOBALE (suite)

monde. Elle est thoriquement gale au solde net


du compte financier. En dautres termes, le
compte financier dcrit le mode de financement
des prts ou emprunts nets aux non-rsidents. Le
compte financier plus le compte des autres
changements explique la variation de la PEG
entre la priode douverture et celle de clture.
2.11 Le premier niveau de classification dans
la PEG, le compte financier et le compte des
autres changements des actifs et passifs, est la
classification fonctionnelle, traite au chapitre 6
du MBP6. []

1. Investissement direct
6.8 Linvestissement direct est une catgorie dinvestissement transnational dans lequel un rsident
dune conomie dtient le contrle ou une influence importante sur la gestion dune entreprise rsidente dune
autre conomie. Outre la participation qui confre
contrle ou influence, l'investissement direct inclut aussi des investissements associs cette
relation, notamment des investissements dans
des entreprises sous contrle ou influence indirecte (paragraphe 6.12 du MBP6), des investissements dans des entreprises surs (paragraphe
6.17 du MBP6), des dettes (except certaines
dettes dfinies au paragraphe 6.28 du MBP6), et
l'investissement rebours (voir paragraphe 6.40
du MBP6). Le Cadre des relations d'investissement direct (CRID) fournit des critres, fonds
sur le contrle et/ou l'influence, pour dterminer si une proprit transnationale cre une
relation d'investissement direct. La dfinition de
linvestissement direct est la mme que celle de
la quatrime dition de la Dfinition de rfrence de
lOCDE des investissements directs internationaux,
qui fournit des dtails supplmentaires sur le
CRID et la collecte de donnes sur linvestissement direct. []

2. Investissement de portefeuille
6.54 L'investissement de portefeuille est constitu
par les transactions et positions transfrontalires portant
sur des titres de crance ou des actions, autres que celles
de l'investissement direct ou des avoirs de rserve. [...]
Les titres ngociables sont faciles changer, ce
qui leur permet de changer plusieurs fois de
mains au cours de leur validit. Les titres ngociables permettent aux investisseurs de diversifier leurs portefeuilles et de retirer aisment leur
investissement. Les units/parts de fonds de
placement (cest--dire, celles mises par des
fonds de placement) matrialises par des titres
et qui ne sont pas des avoirs de rserve ou des investissements directs sont incluses dans linvestissement de portefeuille. Bien quils conF-xxviii

stituent des instruments ngociables, les drivs


financiers normaliss ne sont pas inclus dans
linvestissement de portefeuille parce quils sont
classs dans leur propre catgorie distincte.
6.57 Linvestissement de portefeuille peut
tre prsent par instrument, par chance originelle ou rsiduelle, ou par secteur institutionnel.

3. Drivs financiers (autres que les


rserves) et options sur titres des
salaris
6.58 La dfinition de la catgorie fonctionnelle drivs financiers et stocks options des
salaris (autres que les rserves) concide largement avec la classe d'instruments financiers correspondante, qui est dcrite en dtail aux paragraphes 5.79-5.98 du MBP6. La diffrence de
couverture entre la catgorie fonctionnelle et
l'instrument financier est que les drivs financiers associs la gestion des avoirs de
rserve sont exclus de la catgorie fonctionnelle
et inclus dans les avoirs de rserve (voir paragraphe 6.91 du MBP6). Cette catgorie est identifie sparment des autres catgories car elle
est lie au transfert de risques plutt qu loffre
de fonds ou dautres ressources.
6.59 Contrairement dautres catgories
fonctionnelles, les drivs financiers naccumulent aucun revenu primaire. Tout montant accumul au titre du contrat est class comme rvaluation et inclus au compte des autres
changements de volume. []

4. Autres investissements
6.61 Les autres investissements sont une catgorie
rsiduelle qui inclut les positions et les transactions
autres que celles incluses dans les investissements directs, linvestissement de portefeuille, les drivs financiers et stocks options des employs, et les avoirs de
rserve. Elle inclut les classes suivantes dactifs et
passifs financiers :

a) autres participations;
b) numraire et dpts;
c) prts (y compris utilisation des crdits du FMI
et prts du FMI);
d) rserves techniques dassurances dommages,
droits acquis prestations et annuits dassurance vie, droits acquis pensions, et provisions
pour appels de garanties standard;
e) crdits commerciaux et avances;
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ANNEXE VI. CLASSIFICATION ET COMPOSANTES TYPES DE LA BALANCE


DES PAIEMENTS ET DE LA POSITION EXTRIEURE GLOBALE (fin)

f) autres comptes recevoir/ payer;


g) allocations de DTS [...]

Droits de tirage spciaux


5.34 Les droits de tirage spciaux (DTS) sont des

avoirs de rserve internationaux crs par le FMI et allous ses pays membres pour complter les rserves
officielles dont ils disposent dj. Les DTS sont
dtenus exclusivement par les autorits montaires des pays membres du FMI et par un nombre limit dinstitutions financires internationales dsignes comme dtenteurs agrs.
Les DTS confrent leur dtenteur le droit inconditionnel dobtenir des devises ou dautres
avoirs de rserve auprs dautres pays membres
du FMI. []
5.35 Les avoirs en DTS dtenus par un pays
membre du FMI sont comptabiliss comme un
actif, tandis que lallocation de DTS est considre comme un passif pour le pays membre qui
les reoit (parce quil y a obligation de rem-

bourser lallocation dans certaines circonstances


et quelle donne lieu intrts). Les avoirs en
DTS et les allocations de DTS doivent tre enregistrs sur une base brute et non nette.

5. Rserves
6.64 Les avoirs de rserve sont les actifs extrieurs
que les autorits montaires contrlent directement et dont
elles peuvent disposer immdiatement pour rpondre
des besoins de financement de la balance des paiements,
pour intervenir sur les marchs des changes afin d'influer
sur le taux de change, ainsi que pour d'autres besoins
connexes (par exemple, maintenir la confiance dans la
monnaie et dans l'conomie, et permettre d'emprunter
l'tranger). Les avoirs de rserve doivent tre des
actifs en devises et des actifs existant effectivement. Les actifs potentiels sont exclus. Le concept d'avoir de rserve repose sur les notions de
contrle et de disponibilit l'emploi par les
autorits montaires. La composition des avoirs
de rserve et des passifs lis aux rserves est
prsente l'encadr 6.5 du MBP6.

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F-xxix

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International Monetary Fund. Not for Redistribution

INTRODUCCIN
El volumen 63 del Anuario de estadsticas de balanza
de pagos (Balance of Payments Statistics Yearbook), publicado por el Fondo Monetario Internacional, es la
primera edicin que contiene datos sobre la balanza
de pagos y la posicin de inversin internacional (PII)
que se cien a la sexta edicin del Manual de Balanza
de Pagos y Posicin de Inversin Internacional (MBP6).1
Los datos se presentan a partir de 2005. El FMI
agradece a los pases por su colaboracin en haberle
hecho llegar con regularidad datos exhaustivos y
puntuales para que los divulgue. Estos datos respaldan los esfuerzos del Departamento de Estadstica
del FMI por responder a las necesidades analticas y
de poltica econmica del FMI, de los pases miembros y de la comunidad internacional.
El Anuario tiene dos partes. La primera (Country Tables) presenta datos anuales individuales sobre la balanza de pagos y la PII data de los pases, jurisdicciones y otras entidades informantes, y la segunda
(World and Regional Tables) contiene 21 cuadros
mundiales y regionales sobre los principales componentes de la balanza de pagos. Los metadatos de la
balanza de pagos y la PII (incluidos previamente en
la tercera parte, titulada Methodologies, Compilation
Practices, and Data Sources) ahora se publican nicamente en la biblioteca electrnica del FMI2 y en CDROM. El Anuario se complementa con el CD-ROM
y la base de datos en lnea, de actualizacin mensual.
Como ya se seal, esta es la primera edicin del
Anuario basada en el MBP63 , que fue avalado por el
Comit sobre Estadsticas de Balanza de Pagos del FMI y
publicado en 2009. Presenta normas internacionales
actualizadas que abarcan las metodologas de compilacin y la presentacin de las estadsticas sobre las
cuentas internacionales. El MBP6 contiene aclaraciones y mejoras que reflejan importantes novedades
y ampliaciones ocurridas en los mercados financieros

1Vase http://www.imf.org/external/pubs/ft/bop/2007/bopman6.htm
2 Vase http://elibrary-data.imf.org/
3 El volumen 1 del Anuario, publicado en 1949, se bas en la
primera edicin del Manual de Balanza de Pagos del FMI, publicado
en 1948. Los volmenes 2-12 se compilaron siguiendo la segunda
edicin del Manual, publicada en 1950 ; los volmenes 13-23, la
tercera, de 1961; y los volmenes 24-29, la tercera edicin y su suplemento, publicado en 1973. Los volmenes 30-45 siguieron la
cuarta edicin, de 1977. Los volmenes 46-62 se presentaron conforme a los componentes normalizados de la quinta edicin
(MBP5), aunque estos ltimos cambiaron al publicarse Instrumentos
Financieros Derivados: Suplemento a la quinta edicin (1993) del Manual
de Balanza de Pagos en 2000 y su versin enmendada en 2002.

y los acuerdos comerciales internacionales desde la


publicacin de la quinta edicin del Manual (MBP5)
en 1993. Asimismo, se mantienen y refuerzan los
vnculos y la coherencia con otras estadsticas
macroeconmicas mediante la actualizacin paralela
de la Definicin Marco de Inversin Extranjera Directa (Benchmark Definition of Foreign Direct Investment)
de la OCDE y del Sistema de Cuentas Nacionales.
El apndice 8 del MBP6 y la Matriz de Conversin al
MBP64 detallan los cambios conceptuales y de presentacin respecto del MBP5; entre ellos, el cambio
de nombre de las cuentas (p. ej., las transferencias
corrientes del MBP5 se denominan ingreso secundario en el MBP6), la disposicin de los datos en las
cuentas (p. ej., los datos sobre inversin directa se
basan en el principio direccional en el MBP5, pero el
MBP6 los presenta estrictamente sobre una base de
activos/pasivos en los componentes normalizados) y
los valores indicados en las cuentas (p. ej., los bienes
que fueron temporalmente enviados al extranjero
para transformacin sin que hubiera un cambio de
propiedad figuraban como parte de las importaciones
y exportaciones brutas en el MBP5, mientras que en
el MBP6 se incluyen solamente los servicios correspondientes a los derechos de transformacin).
Durante muchas dcadas, el FMI ha publicado
datos sobre una base que mantiene la coherencia
entre pases y perodos. Esa coherencia es necesaria
para realizar comparaciones entre pases, observar la
evolucin de las tasas de crecimiento a lo largo del
tiempo, y producir agregados de datos regionales o
mundiales. La dificultad radica en el hecho de que,
como ocurri con la adopcin de otras ediciones del
Manual, los pases estn adoptando el MBP6 en distintos momentos. Gracias a la conversin de datos
que lleva a cabo el personal tcnico del FMI, es posible presentar datos a partir de 2005 con el formato
del MBP6, independientemente de que hayan sido
declarados siguiendo el formato del MBP6 o del
MBP5. Para poder hacer una presentacin de datos
coherente con el MBP6, el Departamento de Estadstica del FMI colabor estrechamente con los pases
miembros del FMI. A cada pas se le aplic uno de
estos tres enfoques: i) economas que aplican el
MBP6 e hicieron sus propias estimaciones siguiendo
el MBP6; ii) economas que declararon datos al Departamento de Estadstica del FMI siguiendo el
MBP5 y optaron por una conversin genrica de los
datos al formato del MBP6 usando reglas estndar

4Vase la guia de compilacin del MBP6 (apndice 1) en


http://www.imf.org/external/pubs/ft/bop/2007/bop6comp.htm

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s-i

que se pueden aplicar globalmente a una gran cantidad de economas y a lo largo del tiempo (vase el recuadro 1), o iii) economas que optaron por una conversin especial de datos compilados conforme al
MBP5 y ajustaron los resultados de la conversin
genrica en consulta con el FMI. Para ayudar a los

usuarios a comprender el impacto de la conversin al


MBP6 y los principales cambios metodolgicos que
ocurren al pasar del MBP5 al MBP6, se public en la
pgina web del FMI una serie de preguntas frecuentes(http://www.imf.org/external/pubs/ft/
bop/2007/bopman6.htm).

Recuadro 1. Algunas de las principales reglas aplicadas en la conversin genrica


de datos del MBP5 al MBP6

s-ii

No cambiaron los saldos de la cuenta corriente, la cuenta de capital y la cuenta financiera,


ni los de los activos de reservas y los errores y omisiones netos.

Se reclasific la compraventa para pasarla de servicios a bienes.

Se reclasificaron los servicios de manufactura sobre insumos fsicos pertenecientes a otros


(bienes para transformacin en el MBP5) para pasarlos de bienes a servicios. Los valores
brutos de bienes trasladados fsicamente de un pas a otro para la transformacin pero sin
que se produzca un traspaso de la propiedad se excluyen del comercio de bienes.

Se reclasific la reparacin de bienes para pasarla de bienes a servicios (y se la denomina


reparaciones y mantenimiento n.i.o.p. en el MBP6).

Los bienes adquiridos en puerto por medios de transporte se incluyen en mercancas generales segn la balanza de pagos.

Los servicios de comunicaciones y los servicios de informatica y de informacion del


MBP5 se reclasificaron como servicios de telecomunicaciones, informtica e informacin
en el MBP6.

Los servicios postales y de mensajera se incluyeron en transporte.

Las transferencias de emigrantes se incluyeron en Otras transferencias de capitalSociedades financieras, sociedades no financieras, hogares e ISFLSH. (Aunque las transferencias de emigrantes no deben incluirse en las cuentas de la balanza de pagos segn el MBP6,
la eliminacin de esta cuenta no era posible sin afectar a los errores y omisiones netos, lo
que se prefiri evitar).

Bajo inversin directa, la inversin en sentido contrario se reclasific de acuerdo con la


base de presentacin de activos/pasivos.

En general, los datos sobre autoridades monetarias del MBP5 se trasladaron a banco central. En algunos casos, los datos se trasladaron (total o parcialmente) a gobierno general u
otras unidades institucionales en consulta con los pases.

El uso de los signos en las presentaciones de la balanza de pagos cambi de la siguiente manera: i) en las cuentas corriente y de capital, tanto los crditos como los dbitos se asentaron
con signo positivo; ii) en la cuenta financiera, los aumentos de los activos y los aumentos de
los pasivos se asentaron con signo positivo, y las disminuciones de los activos y las disminuciones de los pasivos se asentaron con signo negativo.

En cuanto a los datos que divulga el FMI, siguiendo las prcticas institucionales tradicionales
se utilizaron los datos suministrados por el Departamento Financiero del FMI sobre las
tenencias y las asignaciones de DEG, as como la posicin de reserva en el FMI, si estos
diferan de los datos declarados.

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Las metodologas, las prcticas de compilacin y


las fuentes de datos de los pases informantes publicadas en la seccin de datos de la biblioteca electrnica y el CD-ROM se basan en la informacin
suministrada por los pases al FMI. Las descripciones
pretenden facilitar al usuario la comprensin de la
cobertura de los datos de cada pas, as como sus
limitaciones. Al mismo tiempo, sirven para informar
a los compiladores sobre las fuentes de datos y las
prcticas empleadas por sus homlogos de otros
pases. Para facilitar la presentacin de metadatos
sobre las estadsticas de la balanza de pagos y la PII,
segn corresponda, este ao los pases pudieron presentar por primera vez esa informacin mediante
cuestionarios en lnea.
Esta introduccin est organizada de la siguiente
manera:

La seccin I describe las caractersticas


de los cuadros publicados en la primera parte de
este volumen del Anuario.

La seccin II contiene informacin sobre


la accesibilidad de los datos del FMI sobre la balanza de pagos en lnea y por CD-ROM.

La seccin III contiene seis anexos: el


anexo I contiene una presentacin analtica de la
balanza de pagos (y los correspondientes cdigos
de los datos); el anexo II presenta los componentes normalizados de la balanza de pagos (y
los correspondientes cdigos de los datos); el
anexo III presenta los componentes normalizados de la PII (y los correspondientes cdigos de
los datos); el anexo IV explica el plan de codificacin de los datos; el anexo V describe el marco
conceptual de la balanza de pagos y la PII; y el
anexo VI explica la clasificacin y los componentes normalizados de la balanza de pagos y la
PII de acuerdo con el MBP6.

I. Caractersticas de los cuadros de la primera parte


del anuario: Datos individuales de los pases
La primera parte del Anuario presenta las pginas
de datos en orden alfabtico. En esta publicacin,
pas no siempre se refiere a una entidad territorial
que constituya un Estado, conforme al derecho y a la
prctica internacionales; el trmino tambin abarca
algunas entidades territoriales que no son Estados
soberanos, sobre las cuales tambin se elaboran
datos estadsticos y se facilitan a nivel internacional
en forma separada.
Para cada pas, los datos sobre la balanza de pagos
aparecen en una presentacin analtica y una presentacin normalizada. En la presentacin analtica
(cuadro 1), los componentes de la balanza de pagos
estn organizados de tal modo que ponen de relieve
las partidas de financiamiento (reservas y partidas

relacionadas). La presentacin normalizada de la balanza de pagos (cuadro 2) y de la PII (cuadro 3) muestra datos organizados segn los componentes normalizados descritos en el MBP6.
Los cuadros 1, 2 y 3 presentan datos sobre cada
pas declarados para los aos 20052011. Salvo indicacin en contrario, se trata de aos civiles.
Balanza de pagos: Presentacin analtica

En la presentacin analtica (cuadro 1), los componentes de la balanza de pagos se clasifican en cinco
categoras principales (grupos A a E) que el FMI considera tiles para analizar con uniformidad la evolucin de la balanza de pagos; las transacciones, por su
parte, se reclasifican respecto de los componentes
normalizados. Sin embargo, no debe interpretarse
que los grupos seleccionados reflejan recomendaciones del FMI sobre el enfoque analtico que corresponde aplicar en todos los pases. Se podran hacer
otras presentaciones analticas reagrupando de diferente manera los componentes normalizados para
tener en cuenta las circustancias propias de un pas o
para atender determinadas necesidades analticas.
En el caso de algunos pases, las cifras que acompaan las presentaciones analtica y normalizada difieren de los saldos de la cuenta corriente, la cuenta
de capital y la cuenta financiera. La razn es que, en
la presentacin analtica, ciertas transacciones asentadas en estas cuentas se reclasifican como reservas
y partidas relacionadas. Las transacciones reclasificadas se agrupan bajo activos de reserva, crditos y
prstamos del FMI y financiamiento excepcional. El
financiamiento excepcional se refiere a las transacciones realizadas por las autoridades para financiar
las necesidades de balanza de pagos, e incluye partidas como endeudamiento externo, acumulacin y
pago de atrasos, y condonacin de la deuda. El financiamiento excepcional excluye las partidas de activos de reserva y de crdito y prstamos del FMI.
(Vase tambin el anexo I.)
Balanza de pagos: Presentacin normalizada

Los componentes normalizados de la balanza de


pagos, que figuran en la presentacin normalizada del
cuadro 2, se resumen bajo bienes y servicios, ingreso
primario e ingreso secundario en la cuenta corriente, y
tambin bajo los principales componentes normalizados de la cuenta de capital. En la cuenta financiera, los
componentes se clasifican por categora funcional (es
decir, inversin directa, inversin de cartera, derivados
financieros (distintos de reservas) y opciones de compra de acciones por parte de empleados (OCAE), otra
inversin y activos de reserva), por tipo de instrumento financiero (participaciones de capital, deuda y
otros), separadamente de las adquisiciones netas de
activos financieros y la emisin neta de pasivos. La

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

s-iii

mayora de estas categoras de la cuenta financiera se


subdividen en sector interno (banco central; sociedades captadoras de depsitos excepto el banco
central; gobierno general) y otros sectores (que a su
vez contiene como una de sus subdivisiones otras
sociedades financieras). (Vase tambin el anexo II.)
Posicin de inversin internacional

Los datos sobre la PII (cuadro 3) se organizan de


acuerdo con los componentes normalizados de la PII
que figuran en el MBP6. (Vase tambin el anexo III.)
Los datos sobre la PII reflejan los activos y pasivos
financieros externos de un pas en un momento determinado. La clasificacin de los componentes de la
PII concuerda con la clasificacin de la cuenta financiera de la balanza de pagos. Esa coherencia es
necesaria para poder analizar a fondo las relaciones
entre una y otra. Las transacciones financieras de la
balanza de pagos y otros flujos (revaloraciones y
otras variaciones del volumen) muestran la contribucin a los cambios ocurridos entre las posiciones de
apertura y de cierre de los activos y pasivos financieros asentados en la PII. En otras palabras, los
activos y pasivos financieros adquieren o pierden
valor y aparecen o desaparecen como consecuencia
de las transacciones de la balanza de pagos, otras
variaciones del volumen y/o revaloraciones.
La PII neta se deriva tomando la diferencia entre el
valor de los activos y pasivos financieros externos.
La deuda externa no es un componente separado
de la PII pero puede derivarse sumando las posiciones de pasivos que no sean derivados financieros
(distintos de reservas) y OCAE, participaciones de
capital y en fondos de inversin, y otras participaciones de capital (que no son instrumentos de deuda
segn las normas estadsticas internacionales).
Cdificacin de los datos

Los cuadros 1, 2 y 3 presentan los cdigos correspondientes a cada categora y componente de datos.
Los cdigos estn diseados para los componentes
normalizados de los datos de la balanza de pagos y
la PII segn la definicin de la MBP6, as como para
los componentes del comercio de servicios de la
OCDE/Eurostat.
Cada cdigo contiene nueve dgitos o caracteres.
Los dos primeros designan la cuenta: el primero indica la cuenta principal (1 es la cuenta corriente, 2
es la cuenta de capital, 3 es la cuenta financiera y
8 es la PII), y el segundo, la subcuenta (p. ej. 1A
es servicios, 1B es bienes, 1C es ingreso primario,
1D es ingreso secundario, 3A es cuenta financiera: inversin directa, 8A es PII: inversin directa). Los cuatro dgitos siguientes sirven para clasificar los componentes de la balanza de pagos y los
componentes de la PII. Por ejemplo, la cuenta cos-iv

rriente lleva el cdigo 10999; la cuenta de capital,


20999; y la cuenta financiera, 30999. El anexo IV detalla el plan de codificacin.
El sexto dgito o caracter del cdigo denota caractersticas especiales de determinados componentes
de datos. En este espacio, S indica la sustitucin de
cuentas y F indica la exclusin del financiamiento
excepcional. El sptimo dgito indica la unidad contable: C es crdito, D es dbito, B es saldo, A
es adquisicin neta de activos financieros, L es
emisin neta de pasivos y N es neto. El octavo
dgito representa el sector del gobierno, y el noveno,
el vencimiento (sobre la base de vencimiento original): S indica corto plazo; L, largo plazo; A,
todos los vencimientos; y N, no corresponde.
Convencin empleada con los signos

Tanto en la presentacin analtica como en la normalizada (cuadros 1 y 2), los datos sobre las transacciones aparecen como asientos de crdito bruto o
dbito bruto en las cuentas corriente y de capital, y
como adquisicin neta de activos financieros o
emisin neta de pasivos (para reflejar las variaciones
netas de activos o las variaciones netas de pasivos)
en la cuenta financiera. En las cuentas corriente y de
capital, tanto los asientos de crdito como los de
dbito son positivos (pero sin el signo ms). En la
cuenta financiera, los aumentos de activos y los aumentos de pasivos aparecen como valores positivos
(sin el signo ms) y las disminuciones de activos y
las disminuciones de pasivos, como valores negativos. Los saldos de la cuenta corriente y la cuenta de
capital se obtienen sustrayendo el dbito del crdito,
y el saldo de la cuenta financiera se calcula
sustrayendo la emisin neta de pasivos de la adquisicin neta de activos financieros. Un signo positivo
junto al saldo de la cuenta financiera indica un aumento neto de activos, en tanto que indicaba un aumento neto de pasivos en el MBP5.
Signos negativos

La regla utilizada en la conversin genrica para la


reclasificacin de servicios de manufactura sobre
insumos fsicos pertenecientes a otros (bienes para
transformacin en el MBP5) a fin de pasarlos de
bienes a servicios puede haber generado valores
negativos para estos servicios en algunas economas
en un perodo determinado. Eso ocurre cuando el
valor de las importaciones supera el valor de las
exportaciones en la economa en la cual ocurre la
transformacin, o cuando el valor de las
exportaciones supera el valor de las importaciones
en la economa socia.
Valores cero o desconocidos y datos confidenciales

En los cuadros del Anuario, los puntos suspensivos


(....) indican que los datos son desconocidos o de
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

valor cero o insignificante, o son confidenciales.


Cuando no se pueden revelar los datos de uno o ms
subcomponentes por razones de confidencialidad, el
valor no divulgado i) se suma a un subcomponente
genrico (tal como otros) del componente en
cuestin, o bien ii) se omite sin ajustar un subcomponente genrico. En uno y otro caso, el total declarado no cambia; por ende, en el caso ii), no es
igual a la suma de los componentes.
Redondeo de cifras

El grueso de los datos de los cuadros est expresado


en unidades de un milln para facilitar la consulta.
Debido a las rutinas de clculo utilizadas, puede
haber diferencias por redondeo entre un agregado y
la suma de sus componentes.
Conversin de monedas

Los datos sobre la balanza de pagos y la PII presentados al FMI estn expresados en moneda nacional, en dlares de EE.UU. o en otra moneda. Para
facilitar las comparaciones entre pases, todos los estados sobre la balanza de pagos y la PII publicados
en el Anuario y el CD-ROM estn expresados en
dlares de EE.UU. Adems, los datos declarados por
todos los pases sobre las transacciones y las posiciones en el FMI y las transacciones y las posiciones
en DEG se reemplazan con datos tomados de los
registros del FMI, que se llevan en DEG. Esta informacin se convierte a su vez en dlares de EE.UU.
En el caso de los pases que no declaran datos en
dlares de EE.UU., los datos sobre la balanza de
pagos se convierten usando los tipos de conversin
indicados al final del cuadro 1. Estos tipos generalmente corresponden al tipo de cambio promedio del
pas en cuestin durante el ao que corresponde,
tomado de la publicacin International Financial Statistics (IFS). Por ejemplo, las pginas de IFS correspondientes a la zona del euro contienen la lnea rf, que

muestra los tipos de cambio promedio euro/dlar de


EE.UU. Al realizar las conversiones de DEG a dlares
de EE.UU. en los datos sobre las transacciones, se
emplean los tipos indicados en la lnea sb de las
pginas de IFS sobre Estados Unidos. En el caso de
los pases que declaran datos trimestrales en moneda
nacional, se obtienen los totales anuales en dlares de
EE.UU. mediante una agregacin de las cifras trimestrales en dlares de EE.UU.
En el caso de los pases que no declaran datos
sobre la PII en dlares de EE.UU., los datos se convierten aplicando el tipo de conversin indicado al
final del cuadro 3. Estos tipos suelen ser los tipos de
cambio de un pas al final del perodo (lnea ae) del
ao en cuestin tomados de IFS. Para ms informacin sobre los tipos de cambio utilizados, consltese
la introduccin a IFS, seccin 1, o el archivo INT.rtf
del CD-ROM que contiene la publicacin IFS.

II. Versin en CD-ROM y en Internet


Las estadsticas publicadas en el Anuario pueden
consultarse tambin en CD-ROM y en Internet (Balance of Payments Statistics Online BOP online). En
esta versin electrnica, las series de tiempo pueden
ser ligeramente ms largas que en la versin impresa,
y lo mismo puede ocurrir con el nmero de perodos
que abarcan las observaciones de datos. Estas dos
fuentes contienen tambin los datos timestrales declarados por los pases, actualizaciones y revisiones.
Toda consulta sobre la versin en CD-ROM e Internet debe dirigirse a:
Publication Services
International Monetary Fund
Washington, D.C. 20431, EE.UU.
Telfono: (202) 6237430
Fax: (202) 6237201
Correo electrnico: publications@imf.org
Internet: http://www.imf.org

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ANNEXE I. PRESENTACIN ANALTICA DE LA BALANZA DE PAGOS


Cdigos de datos
A. CUENTA CORRIENTE1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

10999FBXN

Bienes, crdito (exportaciones). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Bienes, dbito (importaciones) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Saldo de bienes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Servicios, crdito (exportaciones) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Servicios, dbito (importaciones) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Saldo de bienes y servicios . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Ingreso primario: crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Ingreso primario: dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Saldo de bienes, servicios e ingreso primario . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

1A9999CXN
1A9999DXN
1A9999BXN
1B9999CXN
1B9999DXN
1Z9999BXN
1C9999CXA
1C9999DXA
1Y9999BXN

Ingreso secundario: crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Ingreso secundario: dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

1D999FCAA
1D9999DAA

B. CUENTA DE CAPITAL1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

20999FBAA

Cuenta de capital: crdito. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Cuenta de capital: dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Saldo de cuenta corriente y cuenta de capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

20999FCAA
209999DAA
129999BAN

C. CUENTA FINANCIERA1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

30999FNAA

Inversin directa: activos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Participaciones de capital y en fondos de inversin . . . . . . . . . . . . . . . . . . . . . . . . . .
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Inversin directa: pasivos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Participaciones de capital y en fondos de inversin . . . . . . . . . . . . . . . . . . . . . . . . . .
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Inversin de cartera: activos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Participaciones de capital y en fondos de inversin . . . . . . . . . . . . . . . . . . . . . . . . . .
Ttulos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Inversin de cartera: pasivos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Participaciones de capital y en fondos de inversin . . . . . . . . . . . . . . . . . . . . . . . . . .
Ttulos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Derivados financieros y opciones de compra de acciones por parte de empleados: neto
Derivados financieros y opciones de compra de acciones por parte de
empleados: activos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Derivados financieros y opciones de compra de acciones por parte de
empleados: pasivos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otra inversin: activos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otras participaciones de capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otra inversin: pasivos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otras participaciones de capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Corriente + capital saldo cuenta financiera . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

3A9999AAA
3AA000AAA
3AB000AAA
3A999FLAA
3AA00FLAA
3AB00FLAA
3B9999AAA
3BA000AAA
3BB000AAA
3B999FLAA
3BA00FLAA
3BB00FLAA
3C9999NAA
3C9999AAA
3C9999LAA
3D9999AAA
3DA000AAA
3DZ000AAA
3D999FLAA
3DA00FLAA
3DZ00FLAA
4Y999FNAA

D. ERRORES Y OMISIONES NETOS. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

40999SNAA

D. RESERVAS Y PARTIDAS AFINES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

4Z999SNAA

Activos de reserva . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Crdito y prstamos del FMI . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Financiamiento excepcional . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Tasas de conversin: . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

3E999SAAA
3DC0ZSLAA
4099E0LAN
RFZFB

1Excluidos

los componentes que se han clasificado en las categoras del Groupo E.

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S-vii

ANNEX II. PRESENTACIN NORMALIZADA DE LA BALANZA DE PAGOS


Cdigos de datos
CUENTA CORRIENTE. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 109999BXN
BIENES Y SERVICIOS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1Z9999BXN
Crdito total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1Z9999CXN
Dbito total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1Z9999DXN
BIENES . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1A9999BXN
Crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1A9999CXN
Mercancas generales: exportaciones . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1AA000CXN
Exportaciones netas de bienes mediante compraventa . . . . . . . . . . . . . . . . . . . . . . . . . . 1AB000BXN
Oro no monetario: exportaciones . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1AC000CXN
Dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1A9999DXN
Mercancas generales: importaciones . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1AA000DXN
Oro no monetario: importaciones . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1AC000DXN
SERVICIOS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1B9999BXN
Crdito total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1B9999CXN
Dbito total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1B9999DXN
Servicios de manufactura sobre insumos fsicos pertenecientes a otros, crdito . . . . . . . . . . . 1BA000CXN
Servicios de manufactura sobre insumos fsicos pertenecientes a otros, dbito . . . . . . . . . . . . 1BA000DXN
Servicios de reparacin y mantenimiento n.i.o.p., crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BB000CXN
Servicios de reparacin y mantenimiento n.i.o.p., dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BB000DXN
Transporte, crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC000CXN
Pasajeros . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00ZCXN
Flete . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00YCXN
Otros (incluidos servicios postales y de mensajera) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00WCXN
Transporte, dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC000DXN
Pasajeros . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00ZDXN
Flete . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00YDXN
Otros (incluidos servicios postales y de mensajera) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BC00WDXN
Viajes, crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD000CXN
De negocios . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD100CXN
Personales . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD130CXN
Viajes, dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD000DXN
De negocios . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD100DXN
Personales . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BD130DXN
Otros servicios, crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1B999ZCXN
Construccin . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BE000CXN
Servicios de seguros y pensiones . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BF000CXN
Servicios financieros . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BG000CXN
Cargos por el uso de la propiedad intelectual n.i.o.p. . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BH000CXN
Servicios de telecomunicaciones, informtica e informacin . . . . . . . . . . . . . . . . . . . . . 1BJ000CXN
Otros servicios empresariales . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BK000CXN
Servicios personales, culturales y recreativos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BL000CXN
Bienes y servicios del gobierno, n.i.o.p. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BM000CXN
S-viii

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ANNEX II. PRESENTACIN NORMALIZADA DE LA BALANZA DE PAGOS


Cdigos de datos
Otros servicios empresariales . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1B999ZDXN
Construccin . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BE000DXN
Servicios de seguros y pensiones . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BF000DXN
Servicios financieros . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BG000DXN
Cargos por el uso de la propiedad intelectual n.i.o.p. . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BH000DXN
Servicios de telecomunicaciones, informtica e informacin . . . . . . . . . . . . . . . . . . . . . 1BJ000DXN
Otros servicios empresariales . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BK000DXN
Servicios personales, culturales y recreativos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BL000DXN
Bienes y servicios del gobierno, n.i.o.p. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1BM000DXN
INGRESO PRIMARIO . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1C9999BXA
Crdito total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1C9999CXA
Dbito total . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1C9999DXA
Remuneracin de empleados, crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CA000CXA
Remuneracin de empleados, dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CA000DXA
Ingreso de la inversin, crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB000CXA
Ingreso de la inversin directa . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB100CXA
Ingreso procedente de participaciones de capital y en fondos de inversin . . . . . . . . 1CB110CXA
Dividendos y retiros de ingresos de cuasisociedades . . . . . . . . . . . . . . . . . . . . . . . . 1CB111CXA
Utilidades reinvertidas (inversionista directo en empresas de inversin directa) . . . 1CB112CXA
Intereses . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB120CXA
Ingreso procedente de inversin de cartera . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB200CXA
Ingreso procedente de participaciones de capital y en fondos de inversin . . . . . . . . 1CB210CXA
Dividendos de participaciones de capital excluidas las participaciones en fondos
de inversin . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB211CXA
Ingreso de la inversin atribuible a accionistas de fondos de inversin . . . . . . . . . 1CB212CXA
Intereses . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB220CXA
Otra ingreso de la inversin . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB300CXA
Retiros de ingresos de cuasisociedades . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB310CXA
Intereses . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB320CXA
Ingreso de la inversin atribuible a titulares de plizas de seguros, planes de
pensiones y mecanismos normalizados de garanta . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB330CXA
Ingreso procedente de activos de reserva . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB400CXA
Ingreso procedente de participaciones de capital y participaciones en fondos
de inversin . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB410CXA
Intereses . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB420CXA
Ingreso de la inversin, dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB000DXA
Ingreso de la inversin directa . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB100DXA
Ingreso procedente de participaciones de capital y en fondos de inversin . . . . . . . . 1CB110DXA
Dividendos y retiros de ingresos de cuasisociedades . . . . . . . . . . . . . . . . . . . . . . . . 1CB111DXA
Utilidades reinvertidas (inversionista directo en empresas de inversin directa) . . . 1CB112DXA
Intereses . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB120DXA
Ingreso procedente de inversin de cartera . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB200DXA
Ingreso procedente de participaciones de capital y en fondos de inversin . . . . . . . . 1CB210DXA
Dividendos de participaciones de capital excluidas las participaciones en fondos
de inversin . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB211DXA
Ingreso de la inversin atribuible a accionistas de fondos de inversin . . . . . . . . . 1CB212DXA
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

S-ix

ANNEX II. PRESENTACIN NORMALIZADA DE LA BALANZA DE PAGOS


Cdigos de datos
Intereses . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB220DXA
Otro ingreso de la inversin . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB300DXA
Retiros de ingresos de cuasisociedades . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB310DXA
Intereses . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB320DXA
Ingreso de la inversin atribuible a titulares de plizas de seguros, planes de
pensiones y mecanismos normalizados de garanta . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CB330DXA
Otro ingreso primario, crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CC000CXA
Otro ingreso primario, dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1CC000DXA
INGRESO SECUNDARIO . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1D9999BAA
Crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1D9999CAA
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1D9999CGA
Sociedades financieras, sociedades no financieras, hogares e ISFLSH . . . . . . . . . . . . . . 1D9999COA
Transferencias personales . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1DF000COA
Otras transferencias corrientes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1DG000COA
Dbito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1D9999DAA
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1D9999DGA
Sociedades financieras, sociedades no financieras, hogares e ISFLSH . . . . . . . . . . . . . . 1D9999DOA
Transferencias personales . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1DF000DOA
Otras transferencias corrientes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1DG000DOA

S-x

CUENTA DE CAPITAL . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Disposiciones brutas de activos no financieros no producidos, crdito . . . . . . . . . . . . . . . . . . . . .
Disposiciones brutas de activos no financieros no producidos, dbito . . . . . . . . . . . . . . . . . . . . .
Transferencias de capital, crdito . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Condonacin de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otras transferencias de capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades financieras, sociedades no financieras, hogares e ISFLSH . . . . . . . . . . . . . . . .
Transferencias de capital, dbito. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Condonacin de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otras transferencias de capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades financieras, sociedades no financieras, hogares e ISFLSH . . . . . . . . . . . . . . . .

209999BAA
20A000CAA
20A000DAA
20A100CAA
20A100CGA
20A110CGA
20A120CGA
20A100COA
20A100DAA
20A100DGA
20A110DGA
20A120DGA
20A100DOA

CUENTA FINANCIERA . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
INVERSIN DIRECTA. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Adquisicin neta de activos financieros. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Participaciones de capital y participaciones en fondos de inversin . . . . . . . . . . . . . . . . . . .
Participaciones de capital distintas de reinversin de utilidades . . . . . . . . . . . . . . . . . . . .
Inversionista directo en empresas de inversin directa . . . . . . . . . . . . . . . . . . . . . . .
Empresas de inversin directa en inversionista directo (inversin en sentido
contrario) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Entre empresas emparentadas . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Reinversin de utilidades (inversionista directo en empresas de inversin directa) . .

30999SNAA
3A9999NAA
3A9999AAA
3AA000AAA
3AA100AAA
3AA110AAA
3AA120AAA
3AA130AAA
3AA200AAA

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEX II. PRESENTACIN NORMALIZADA DE LA BALANZA DE PAGOS


Cdigos de datos
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB000AAA
Inversionista directo en empresas de inversin directa . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB100AAA
Empresas de inversin directa en inversionista directo (inversin en sentido contrario) 3AB200AAA
Entre empresas emparentadas . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB300AAA
Emisin neta de pasivos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3A9999LAA
Participaciones de capital y participaciones en fondos de inversin . . . . . . . . . . . . . . . . . . . 3AA000LAA
Participaciones de capital distintas de reinversin de utilidades . . . . . . . . . . . . . . . . . 3AA100LAA
Inversionista directo en empresas de inversin directa . . . . . . . . . . . . . . . . . . . . . . . 3AA110LAA
Empresas de inversin directa en inversionista directo (inversin en sentido contrario)3AA120LAA
Entre empresas emparentadas . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AA130LAA
Reinversin de utilidades (inversionista directo en empresas de inversin directa) . . 3AA200LAA
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB000LAA
Inversionista directo en empresas de inversin directa . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB100LAA
Empresas de inversin directa en inversionista directo (inversin en sentido contrario) 3AB200LAA
Entre empresas emparentadas . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3AB300LAA
INVERSIN DE CARTERA . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3B9999NAA
Adquisicin neta de activos financieros. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3B9999AAA
Participaciones de capital y participaciones en fondos de inversin . . . . . . . . . . . . . . . . . . . 3BA000AAA
Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000ACA
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . 3BA000ADA
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000AGA
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000AOA
De las cuales: Otras sociedades financieras . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000AFA
Ttulos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000AAA
Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000ACA
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . 3BB000ADA
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000AGA
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000AOA
De las cuales: Otras sociedades financieras . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000AFA
Emisin neta de pasivos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3B9999LAA
Participaciones de capital y participaciones en fondos de inversin . . . . . . . . . . . . . . . . . . . 3BA000LAA
Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000LCA
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . 3BA000LDA
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000LGA
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000LOA
De las cuales: Otras sociedades financieras . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BA000LFA
Ttulos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LAA
Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LCA
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . 3BB000LDA
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LGA
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LOA
De las cuales: Otras sociedades financieras . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3BB000LFA

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

S-xi

ANNEX II. PRESENTACIN NORMALIZADA DE LA BALANZA DE PAGOS


Cdigos de datos
DERIVADOS FINANCIEROS (DISTINTOS DE RESERVAS) y OPCIONES DE COMPRA DE ACCIONES
POR PARTE EMPLEADOS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Adquisicin neta de activos financieros. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Emisin neta de pasivos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
OTRA INVERSIN . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Adquisicin neta de activos financieros. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otras participaciones de capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
De las cuales: Otras sociedades financieras . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Emisin neta de pasivos . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otras participaciones de capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Derechos especiales de giro (asignaciones) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
De las cuales: Otras sociedades financieras . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
ACTIVOS DE RESERVA . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Oro monetario . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Derechos especiales de giro . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Posicin de reserva en el FMI . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros activos de reserva . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
ERRORES Y OMISIONES NETOS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

xii

3C9999NAA
3C9999AAA
3C9999LAA
3D999SNAA
3D9999AAA
3DA000AAA
3DZ000AAA
3DZ000ACA
3DZ000ADA
3DZ000AGA
3DZ000AOA
3DZ000AFA
3D999SLAA
3DA000LAA
3DG00SLAA
3DY00SLAA
3DY00SLCA
3DY000LDA
3DY00SLGA
3DY000LOA
3DY000LFA
3E999SAAA
3EA000AAA
3EB00SAAA
3EC00SAAA
3ED000AAA
40999SNAA

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANNEX III. COMPONENTES

NORMALIZADOS DE LA POSICIN DE
INVERSIN INTERNACIONAL
Cdigos de datos

ACTIVOS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Inversin directa . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Participaciones de capital y participaciones en fondos de inversin . . . . . . . . . . . . . . . . . . . . .
Inversionista directo en empresas de inversin directa. . . . . . . . . . . . . . . . . . . . . . . . . .
Empresas de inversin directa en inversionista directo (inversin en sentido contrario)
Entre empresas emparentadas . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Inversionista directo en empresas de inversin directa . . . . . . . . . . . . . . . . . . . . . . . . . .
Empresas de inversin directa en inversionista directo (inversin en sentido contrario)
Entre empresas emparentadas . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Inversin de cartera . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Participaciones de capital y participaciones en fondos de inversin . . . . . . . . . . . . . . . . . . . . .
Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
De las cuales: Otras sociedades financieras. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Ttulos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
De las cuales: Otras sociedades financieras. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Derivados financieros (distintos de reservas) y opciones de compra de acciones por parte
de empleados . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otra inversin . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otras participaciones de capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
De las cuales: Otras sociedades financieras. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Activos de reserva . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Oro monetario . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Derechos especiales de giro . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Posicin de reserva en el FMI . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros activos de reserva . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

80999SAAA
8A9999AAA
8AA000AAA
8AA100AAA
8AA200AAA
8AA300AAA
8AB000AAA
8AB100AAA
8AB200AAA
8AB300AAA
8B9999AAA
8BA000AAA
8BA000ACA
8BA000ADA
8BA000AGA
8BA000AOA
8BA000AFA
8BB000AAA
8BB000ACA
8BB000ADA
8BB000AGA
8BB000AOA
8BB000AFA
8C9999AAA
8D9999AAA
8DA000AAA
8DZ000AAA
8DZ000ACA
8DZ000ADA
8DZ000AGA
8DZ000AOA
8DZ000AFA
8E999SAAA
8EA000AAA
8EB00SAAA
8EC00SAAA
8ED000AAA

xiii

ANNEX III. COMPONENTES

NORMALIZADOS DE LA POSICIN DE
INVERSIN INTERNACIONAL
Cdigos de datos

PASIVOS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Inversin directa . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Participaciones de capital y participaciones en fondos de inversin . . . . . . . . . . . . . . . . . . . . .
Inversionista directo en empresas de inversin directa . . . . . . . . . . . . . . . . . . . . . . . . . .
Empresas de inversin directa en inversionista directo (inversin en sentido contrario)
Entre empresas emparentadas . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Inversionista directo en empresas de inversin directa . . . . . . . . . . . . . . . . . . . . . . . . . .
Empresas de inversin directa en inversionista directo (inversin en sentido contrario)
Entre empresas emparentadas . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Inversin de cartera . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Participaciones de capital y participaciones en fondos de inversin . . . . . . . . . . . . . . . . . . . . .
Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
De las cuales: Otras sociedades financieras. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Ttulos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
De las cuales: Otras sociedades financieras. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Derivados financieros (distintos de reservas) y opciones de compra de acciones por parte de
empleados . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

80999SLAA
8A9999LAA
8AA000LAA
8AA100LAA
8AA200LAA
8AA300LAA
8AB000LAA
8AB100LAA
8AB200LAA
8AB300LAA
8B9999LAA
8BA000LAA
8BA000LCA
8BA000LDA
8BA000LGA
8BA000LOA
8BA000LFA
8BB000LAA
8BB000LCA
8BB000LDA
8BB000LGA
8BB000LOA
8BB000LFA

Banco central . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Sociedades captadoras de depsitos, excepto el banco central . . . . . . . . . . . . . . . . . . . .
Gobierno general . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros sectores . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
De las cuales: Otras sociedades financieras. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

8C9999LAA
8D999SLAA
8DA000LAA
8DG00SLAA
8DY00SLAA
8DY00SLCA
8DY000LDA
8DY00SLGA
8DY000LOA
8DY000LFA

POSICIN DE INVERSIN INTERNACIONAL NETA . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .


Tasas de conversin: . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

80999SNAA
AEZFB

Otra inversin . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otras participaciones de capital . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Derechos especiales de giro (asignaciones) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Otros instrumentos de deuda . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

S-xiv

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANEXO IV. SISTEMA DE CODIFICACIN DEL FMI PARA BALANZA


DE PAGOS Y POSICIN DE INVERSIN INTERNACIONAL

La estructura de codificacin consta de los siguientes cinco segmentos de longitud fija.


<agregado> dos dgitos: El primer dgito identifica la cuenta a la que pertenece la serie (por ejemplo, cuenta
corriente, cuenta de capital, cuenta financiera o posicin de inversin internacional). El segundo dgito denota
la seccin a la que pertenece la serie dentro de la cuenta.
<Partida de balanza de pagos> cuatro dgitos: Identifica todos los componentes normalizados, y ciertos componentes de informacin complementaria.
<posicin> un dgito: Identifica la unidad contable asociada con la medicin de valor del concepto.
<sector residente> un dgito: Identifica el sector interno asociado con el concepto.
<vencimiento> un dgito: Identifica el plazo de vencimiento correspondiente al concepto, si corresponde.
El cdigo exige que se indiquen los cinco segmentos y tiene la siguiente forma: <agregado><partida de balanza
de pagos ><position><sector residente ><vencimiento>.

Cdigo

Agregado en balanza de pagos I posicin de inversin internacional (PII)

10

Cuenta corriente

1Z

Bienes y servicios

1A

Bienes

1B

Servicios

1C

Ingreso primario

1D

Ingreso secundario

20

Cuenta de capital

30

Cuenta financiera

3A

Inversin directa

3B

Inversin de cartera

3C

Derivados financieros (distintos de reservas) y opciones de compra de acciones


por parte de empleados

3D

Otra inversin

3E

Activos de reserva

4Y

Partida equilibradora de la cuenta corriente, de capital y financiera

40

Errores y omisiones netos

4Z

Reservas y partidas afines

80

Activos/pasivos (PII)

8A

Inversin directa (PII)

8B

Inversin de cartera (PII)

8C

Derivados financieros (PII)

8D

Otra inversin (PII)

8E

Activos de reserva (PII)

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

S-xv

ANEXO IV. SISTEMA DE CODIFICACIN DEL FMI PARA BALANZA


DE PAGOS Y POSICIN DE INVERSIN INTERNACIONAL (conclusin)

A continuacin se muestran ejemplos de cdigos para otra inversin de la cuenta financiera.

Otra inversin

3D9999NAA

Adquisicin neta de activos financieros

3D9999AAA

Emisin neta de pasivos

3D9999LAA

Otras participaciones de capital


Adquisicin neta de activos financieros

3DA000AAA

Emisin neta de pasivos

3DA000LAA

Billetes y monedas y depsitos


Adquisicin neta de activos financieros
Bancos centrales

S-xvi

3DA000NAA

3DB000NAA
3DB000AAA
3DB000ACA

Corto plazo

3DB000ACS

Largo plazo

3DB000ACL

Autoridades monetarias (cuando sea pertinente)

3DB000AMA

Corto plazo

3DB000AMS

Largo plazo

3DB000AML

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANEXO V. MARCO CONCEPTUAL DE LA BALANZA DE PAGOS Y DE


LA POSICIN DE INVERSIN INTERNACIONAL

Este anexo es una reproduccin y un resumen de la sexta edicin


del Manual de Balanza de Pagos y Posicin de Inversin Internacional (MBP6). Los prrafos y captulos que se citan en este anexo
corresponden a los que constan en el MBP6; para aclarar este hecho,
al texto citado se le aade la expresin del MBP6 antes de cada
referencia a un prrafo, captulo o recuadro especfico del MBP6. Tres
puntos entre corchetes [] indican que se omite parte del prrafo.

Marco general
2.2 Las cuentas internacionales de una economa resumen las relaciones econmicas entre los residentes y los
no residentes de dicha economa. Ellas comprenden:
a) La posicin de inversin internacional (PII) un estado que muestra el valor, en un momento dado, de los
activos financieros de los residentes de una economa
que constituyen derechos sobre activos de no residentes
o lingotes de oro mantenidos en calidad de activos de
reserva, y los pasivos de los residentes de una economa
frente a no residentes.
b) La balanza de pagos un estado que resume las
transacciones econmicas entre residentes y no residentes
durante un perodo determinado.
c) Las dems variaciones de las cuentas de activos y pasivos financieros un estado en el que se recogen otros
flujos, como las variaciones por valoracin, que concilian
la balanza de pagos y la PII correspondientes a un perodo
determinado, indicando las variaciones debidas a fenmenos econmicos distintos de las transacciones entre
residentes y no residentes.
2.3 Las cuentas internacionales ofrecen un marco integrado para el anlisis de las relaciones econmicas de una
economa con el resto del mundo; entre ellas, sus resultados econmicos internacionales, su poltica cambiaria, su
gestin de las reservas y su vulnerabilidad externa. En el
captulo 14 del MBP6, Cuestiones seleccionadas en el anlisis de la balanza de pagos y la posicin de inversin internacional, se presenta un estudio detallado del uso de la informacin correspondiente a las cuentas internacionales.

Posicin de inversin internacional


2.8 La posicin de inversin internacional (PII) es un estado estadstico que muestra el valor, en un momento dado, de los activos
financieros de residentes de una economa que constituyen derechos sobre activos de no residentes o los lingotes de oro mantenidos
en calidad de activos de reserva, y los pasivos de los residentes de
una economa frente a no residentes. La diferencia entre los activos y pasivos es la posicin neta en la PII y representa un
activo neto, o un pasivo neto, frente al resto del mundo.

Balanza de pagos
2.12 La balanza de pagos es un estado estadstico que resume
las transacciones entre residentes y no residentes durante un
perodo. Comprende la cuenta de bienes y servicios, la cuenta del

ingreso primario, la cuenta del ingreso secundario, la cuenta de


capital y la cuenta financiera. En virtud del sistema de contabilidad por partida doble que se utiliza en la balanza de
pagos, cada transaccin se registra mediante dos asientos,
y la suma de los asientos de crdito es igual a la suma de
los asientos de dbito. []
2.13 Las diversas cuentas que conforman la balanza de
pagos se distinguen segn la naturaleza de los recursos
econmicos suministrados y recibidos.

Flujos y posiciones
3.2 Los flujos se refieren a las acciones econmicas y los efectos de
eventos que ocurren dentro de un perodo contable, en tanto que
las posiciones se refieren al nivel de los activos o pasivos en un momento determinado. Los flujos internacionales se registran en
las cuentas como transacciones (balanza de pagos) y en la
cuenta de otras variaciones de los activos y pasivos financieros. Los flujos y las posiciones se integran de manera que los flujos registrados expliquen completamente
todas las variaciones de posiciones entre dos momentos
determinados. Las posiciones y los flujos de los activos y
pasivos financieros se agrupan de acuerdo con las clasificaciones funcionales y por instrumento de los activos y
pasivos financieros. Las transacciones no financieras por
lo general se agrupan en funcin de su naturaleza y sus
caractersticas. Las posiciones de activos y pasivos financieros frente al exterior figuran en la posicin de inversin internacional. []

Flujos
3.3 Los flujos reflejan la creacin, la transformacin, el intercambio, la transferencia o la extincin de valor econmico; implican
cambios en el volumen, la composicin o el valor de los activos y
pasivos de una unidad institucional. Esta clasificacin es el
fundamento de las cuentas de flujos, descritas en los captulos 813 del MBP6. Los flujos tambin pueden clasificarse en a) los que estn relacionados con transacciones y
b) otros flujos.

a. Transacciones
3.4 Una transaccin es una interaccin entre dos unidades institucionales que ocurre por mutuo acuerdo o en virtud de la ley y que
implica un intercambio de valor o una transferencia. Las transacciones se clasifican de acuerdo con la naturaleza del valor
econmico proporcionado, a saber, bienes o servicios, ingreso primario, ingreso secundario, transferencias de capital, activos no financieros no producidos, activos o pasivos financieros. En los captulos 8 y 1013 del MBP6 se
analizan las transacciones. Acuerdo mutuo significa que
existen conocimiento y consentimiento previos por parte
de las unidades institucionales. Las transacciones establecidas por ley son aplicables principalmente a ciertas
transacciones distributivas, como el pago de impuestos,
multas y sanciones. Si bien los impuestos o las sanciones
se aplican a unidades institucionales individuales en virtud de decisiones administrativas o judiciales, la comu-

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

S-xvii

ANEXO V. MARCO CONCEPTUAL DE LA BALANZA DE PAGOS Y DE


LA POSICIN DE INVERSIN INTERNACIONAL (continuacin)

nidad reconoce y acepta de forma colectiva la obligacin


de pagar impuestos y sanciones. Debido al intercambio
de valor, una transaccin comprende dos flujos econmicos, uno en cada sentido; por ejemplo, bienes suministrados por una parte a cambio de dinero proporcionado por
la otra parte. La definicin se extiende a acciones dentro
de una unidad institucional que a efectos analticos conviene tratar como transacciones, ya que con frecuencia la
unidad opera en dos capacidades distintas, como cuando
una parte opera como sucursal. La definicin tambin
abarca las transferencias unilaterales, para lo cual las transferencias se identifican como el flujo correspondiente al
valor econmico proporcionado. Las transacciones registradas en las cuentas internacionales se producen entre
dos unidades institucionales, una residente en la
economa compiladora y la otra no residente

Tipos de transacciones
3.12 Las transacciones pueden ser de muy diversas formas. Las transacciones pueden clasificarse segn sean intercambios o transferencias (vase el prrafo 3.13 del
MBP6), y segn sean monetarias o no monetarias (vase
el prrafo 3.14 del MBP6). Por otro lado, ciertas transacciones se reorganizan mediante el redireccionamiento o la
particin (vanse los prrafos 3.16-3.17 del MBP6), mientras que otras transacciones se imputan para reflejar las
relaciones econmicas subyacentes (vase el prrafo 3.18
del MBP6). []

b. Otros flujos
3.19 Los otros flujos son las variaciones en el volumen, el valor o la
clasificacin de un activo o un pasivo que no se derivan de una
transaccin entre un residente y un no residente. Los otros flujos
constituyen fenmenos econmicos legtimos y reflejan
variaciones de los activos y pasivos entre las posiciones de
apertura y de cierre que no se derivan de transacciones. En
el contexto de las cuentas internacionales, los otros flujos
solo se registran en los casos de activos y pasivos financieros
que representan derechos u obligaciones frente a no residentes y oro en lingotes (vase el prrafo 3.24 del MBP6),
dado que la posicin de inversin internacional se refiere
solo a los activos y pasivos financieros frente al exterior.
3.20 Los otros flujos abarcan diversas clases de variaciones de los activos y pasivos que analticamente corresponden a dos categoras amplias:
a) Las otras variaciones en el volumen de los activos y pasivos reflejan entradas de activos nuevos en los balances y retiros de activos y pasivos existentes de dichos balances que no se deben a interacciones por mutuo acuerdo entre unidades institucionales (es
decir, transacciones).
b) Revaloraciones (ganancias y prdidas por tenencias) de activos
o pasivos debidas a variaciones de precios o de los tipos de cambio.
En las cuentas internacionales, las revaloraciones se subdividen en las que se deben a variaciones de los tipos de
cambio y las que se deben a otras variaciones de precios.
S-xviii

Posiciones
3.23 Las posiciones se refieren al nivel de activos o pasivos financieros en un momento determinado. Se registran en la posicin de inversin internacional, que es un balance de los
activos y pasivos financieros frente al exterior. Por lo general, las posiciones se muestran al comienzo y al final de
un perodo contable. Las posiciones entre dos perodos se
conectan con flujos ocurridos en ese lapso, dado que las
variaciones de las posiciones son producto de transacciones y otros flujos.
3.24 Los activos financieros son activos econmicos que
constituyen instrumentos financieros. Los activos financieros comprenden los derechos financieros y, por
convencin, el oro monetario mantenido en lingotes (incluido el oro mantenido en cuentas de oro asignadas). Un
derecho financiero es un instrumento financiero que tiene
un pasivo de contrapartida. El oro en lingotes no es un
derecho y no tienen un pasivo de contrapartida. Sin embargo, es tratado como activo financiero debido a la funcin especial que desempea como medio de intercambio
financiero en los pagos internacionales que efectan las
autoridades monetarias y como activo de reserva mantenido por las autoridades monetarias.
3.25 La posicin de inversin internacional comprende
los activos y los pasivos financieros de carcter internacional. Todos los derechos financieros implican a dos
partes, de manera que son de carcter internacional si el
derecho es exigible frente a un no residente. Anlogamente, todos los pasivos implican a dos partes, de manera que son de carcter internacional si la obligacin compromete a un no residente. La posicin de inversin internacional se describe en el captulo 7 del MBP6.

Sistema contable
3.26 El sistema contable en el que se basan las cuentas
internacionales se sustenta en principios de contabilidad
generales. Para comprender el sistema contable de las
cuentas internacionales, cabe distinguir tres principios
de contabilidad:
a) El mtodo de contabilidad por partida doble en forma
vertical, tambin conocido simplemente como contabilidad
por partida doble, utilizado en la contabilidad empresarial.
b) El mtodo de contabilidad por partida doble en forma
horizontal.
c) El mtodo de contabilidad por partida cudruple.

Mtodo de contabilidad por partida doble en


forma vertical: Asientos correlativos
3.27 La caracterstica principal de la contabilidad por partida doble en forma vertical es que cada transaccin da
origen a por lo menos dos asientos correlativos, denominados tradicionalmente asientos de crdito y dbito, en el
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANEXO V. MARCO CONCEPTUAL DE LA BALANZA DE PAGOS Y DE


LA POSICIN DE INVERSIN INTERNACIONAL (continuacin)

libro de la parte que efecta la transaccin. Las cuentas internacionales de una economa deben compilarse de
acuerdo con la contabilidad por partida doble en forma
vertical desde la perspectiva de los residentes de esa
economa. Cada transaccin es un intercambio o una
transferencia, y por eso requiere dos asientos. Este principio garantiza que el total de todos los asientos de crdito
y dbito correspondientes a todas las transacciones sean
iguales, lo que permite confirmar la coherencia de las
cuentas de una unidad determinada. Las reclasificaciones
tambin dan origen a asientos de crdito y dbito. Los
asientos correspondientes a otros flujos se registran directamente en variaciones del patrimonio neto. As, la contabilidad por partida doble en forma vertical garantiza la
identidad fundamental del balance de una unidad, es
decir, el valor total de los activos es igual al valor total de
los pasivos ms el patrimonio neto. El valor total de los
activos de propiedad de una entidad menos el valor total
de los pasivos arroja el patrimonio neto. En las cuentas internacionales, la posicin de inversin internacional es un
indicador de los derechos financieros netos frente a no
residentes ms el oro en lingotes mantenido como oro
monetario. Estos trminos de examinan en los prrafos
7.17.2 del MBP6.

Mtodo de contabilidad por partida doble en


forma horizontal: Asientos de contrapartida
3.28 El concepto de la contabilidad por partida doble en
forma horizontal sirve para compilar cuentas que reflejen
las relaciones econmicas mutuas entre diferentes
unidades institucionales de una manera coherente. Esto
significa que si la unidad A proporciona algo a la unidad B,
las cuentas de A y B muestran la transaccin por el mismo
monto: como pago en la cuenta de A y como ingreso en la
cuenta de B. La contabilidad por partida doble en forma
horizontal garantiza la coherencia de los registros correspondientes a la categora de cada transaccin que efectan
las partes. Por ejemplo, a nivel mundial, los dividendos por
pagar de todas las economas deben ser iguales a los dividendos por cobrar de todas las economas.

Mtodo de contabilidad por partida cudruple


3.29 La aplicacin simultnea de los asientos de contabilidad por partida doble en forma vertical y horizontal se
traduce en un sistema contable por partida cudruple, que
sirve como base para el registro de las cuentas nacionales
y las cuentas internacionales. Asimismo, las definiciones,
las clasificaciones y los principios contables de las cuentas
internacionales se derivan del punto de vista de la simetra
conceptual y de la declaracin simtrica por parte de las
economas que comercian entre s. El sistema de contabilidad por partida cudruple trata en forma coherente situaciones con mltiples partes o grupos que participan en las
transacciones, cada uno de los cuales practica la contabilidad por partida doble en forma vertical. Por lo tanto, una
sola transaccin entre dos partes da origen a cuatro asientos. A diferencia de la contabilidad empresarial, las cuentas internacionales abordan las interacciones entre una

multitud de unidades en forma paralela, y por consiguiente se debe prestar especial atencin a la coherencia.
Por ejemplo, como un pasivo de una unidad es el reflejo
de un activo financiero de otra unidad, su valoracin, asignacin en el tiempo y clasificacin deben ser idnticas
para evitar incongruencias a la hora de agregar los balances de las unidades en totales regionales o mundiales.
Lo mismo sucede con todas las transacciones y los otros
flujos que afectan los balances de dos partes. En las cuentas internacionales, el mtodo de contabilidad por partida
cudruple es necesario para las comparaciones bilaterales
y los datos mundiales integrados.

Tipos de asientos contables


3.30 En las cuentas internacionales los flujos se registran
de acuerdo con las siguientes convenciones y terminologa. En las cuentas corriente y de capital, un crdito
denota asientos de cuentas por cobrar correspondientes a
exportaciones, ingreso primario, transferencias y disposiciones de activos no financieros no producidos. Un dbito
denota asientos de cuentas por pagar correspondientes a
importaciones, ingreso primario, transferencias y adquisiciones de activos no financieros no producidos.
3.31 En el caso de las transacciones sobre activos y pasivos financieros, se utilizan los trminos adquisicin
neta de activos financieros y emisin neta de pasivos.
Las partidas de la cuenta financiera se registran en cifras
netas y por separado para cada activo financiero y pasivo,
es decir, representan las variaciones suscitadas por todos
los asientos de crdito y de dbito en un ejercicio contable. El uso de los trminos adquisicin neta de activos
financieros y emisin neta de pasivos destaca la forma
en que la cuenta financiera repercute en la posicin de inversin internacional. El uso de estos trminos asimismo
simplifica la interpretacin de los datos. Una variacin
positiva denota un aumento de los activos o los pasivos y
una variacin negativa denota una disminucin de los activos o pasivos. Sin embargo, la interpretacin de un aumento o una disminucin segn la nocin de crdito o
dbito depende de si el aumento o la disminucin se refiere a activos o pasivos (un dbito en el caso de un activo
es un aumento, mientras que un dbito en el caso de un
pasivo es una disminucin). Si bien en las transacciones
de la cuenta financiera no se hace hincapi en la presentacin de dbitos y crditos, es importante reconocer
y mantener las identidades contables; por ejemplo, un
crdito siempre se equipara conceptualmente con el correspondiente dbito, y este ltimo se refiere o un aumento de un activo o a una disminucin de un pasivo
(vase el recuadro 2.1 del MBP6). []

Principios sobre momento de registro y valoracin


3.39 En el Manual se recomienda el uso de la base devengado para determinar el momento de registro de los
flujos. En la base devengado el momento de registro coincide con el momento en que ocurren los eventos que dan
origen al flujo efectivo de recursos. En el mtodo de base
caja el momento de registro podra ser significativamente

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

S-xix

ANEXO V. MARCO CONCEPTUAL DE LA BALANZA DE PAGOS Y DE


LA POSICIN DE INVERSIN INTERNACIONAL (continuacin)

diferente del momento en que ocurren las transacciones y


actividades econmicas a las que estn vinculadas los flujos de efectivo. En el registro en base vencimiento de pago
las transacciones suelen registrarse despus de que los flujos de recursos hayan tenido lugar, aunque las largas demoras relacionadas con la base caja se reduciran en la
mayora de los casos. Con la base compromiso, el momento de registro sera previo al flujo efectivo de los recursos.
3.40 La base devengado brinda la informacin ms completa porque registra todos los flujos de recursos, incluidas las transacciones no monetarias, las transacciones imputadas y otros flujos. Este registro completo garantiza la
integracin de los flujos y las variaciones en los balances.
La base devengado es coherente con la forma en que se
definen las transacciones, los otros flujos y los principales
agregados econmicos (balanza de bienes y servicios,
prstamo neto/endeudamiento neto). Tambin se asemeja
a la contabilidad empresarial.

Momento de registro

variaciones en el volumen de los activos son normalmente


hechos discretos que suceden en momentos precisos o en
el transcurso de perodos muy breves de tiempo. Las otras
variaciones en el volumen de los activos, incluidas las reclasificaciones, se registran a medida que se producen. Las
revaloraciones pueden ocurrir continuamente a medida
que varan los precios y los tipos de cambio. En la prctica, las revaloraciones suelen calcularse entre dos momentos determinados en los que se valoran los activos o
pasivos en cuestin.

Valoracin
3.67 Los precios de mercado se refieren al valor de cambio corriente, es decir, los valores a los que los bienes y otros activos, los
servicios y la mano de obra o se intercambian de hecho o podran
intercambiarse por dinero. Los precios de mercado son la base
para valorar las cuentas internacionales. En esta seccin se
describen los principios generales para la valoracin de
flujos y posiciones. La valoracin de tipos especficos de
flujos y posiciones se analiza en ms detalle en los captulos pertinentes del MBP6.

a. Momento de registro de las transacciones

a. Valoracin de las transacciones

3.41 El traspaso de la propiedad econmica es esencial a


la hora de determinar el momento de registro en base devengado de las transacciones de bienes, activos no financieros no producidos y activos financieros. El trmino
propiedad econmica refleja la realidad subyacente que
las cuentas econmicas procuran medir. El trmino tiene
en cuenta dnde se encuentran los riesgos y las recompensas de la propiedad. Los conceptos de propiedad
econmica y los riesgos y las recompensas conexas se
examinan ms a fondo en el prrafo 5.3. del MBP6. Un
cambio de propiedad desde un punto de vista econmico
significa que en la prctica se transfieren todos los riesgos,
las recompensas y los derechos y las responsabilidades de
la propiedad. En general, el traspaso de la propiedad
legal tambin implica un traspaso de la propiedad
econmica. En ciertos casos, el traspaso de la propiedad
econmica ocurre aunque no haya cambiado la
propiedad legal (por ejemplo, los arrendamientos financieros y las transacciones entre una empresa y sus sucursales extranjeras). En otros casos no se produce un
traspaso de propiedad econmica, aunque s se produce
un traspaso de propiedad legal. []

3.68 El precio de mercado para las transacciones se define como


la suma de dinero que un comprador paga por un bien a un
vendedor en una transaccin consensual; el intercambio se
efecta entre partes independientes entre s y tiene motivos puramente comerciales, y a veces se denomina en
pie de igualdad. En un sentido estricto, el precio de mercado es nicamente el precio adoptado para un intercambio realizado en las condiciones establecidas. Otro intercambio de una unidad igual, aun en casi idnticas
circunstancias, podra resultar en un precio de mercado
distinto. Definido de esta manera, el precio de mercado
debe diferenciarse claramente del precio cotizado en el
mercado, del precio de mercado mundial, del precio corriente, del precio justo de mercado o de cualquier otro
precio que sirva para expresar la generalidad de los precios
de una clase de intercambios supuestamente iguales y no
el precio que realmente se aplic a una determinada
transaccin. Tampoco debe interpretarse que equivale
necesariamente a un precio de mercado libre, es decir, no
debe suponerse que una transaccin de mercado siempre
tiene lugar en una situacin de estricta competencia de
mercado. De hecho, puede ocurrir en una estructura monopolista, monopsonista o en cualquier otra estructura de
mercado. En realidad, el mercado puede definirse en un
sentido tan estricto que se limite a una transaccin nica
en su clase efectuada entre partes independientes.

3.42 Las transacciones en bienes, activos no financieros


no producidos y activos financieros de propiedad de
unidades institucionales se registran en el momento en
que se traspasa la propiedad econmica del activo subyacente. Cuando no sea evidente el traspaso de propiedad,
se considera que el traspaso de propiedad ocurre en (o lo
determina) el momento en que las partes de la transaccin
lo asientan en sus libros o cuentas.

b. Momento de registro de los flujos


3.60 Los otros flujos abarcan las otras variaciones en el
volumen de los activos y las revaloraciones. Las otras
S-xx

b. Valoracin de otros flujos


3.81 Los otros flujos en las cuentas internacionales captan
las variaciones en la posicin de inversin internacional de
activos y pasivos financieros que no se deben a transacciones. Las ganancias y prdidas por tenencias se derivan
de fluctuaciones de los valores de mercado de de las posiciones en activos y pasivos financieros. Las ganancias y
prdidas por tenencias pueden acumularse de forma con2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANEXO V. MARCO CONCEPTUAL DE LA BALANZA DE PAGOS Y DE


LA POSICIN DE INVERSIN INTERNACIONAL (continuacin)

tinua. Se produce una ganancia por tenencia cuando


aumenta el valor de un activo o disminuye el valor
de un pasivo; se produce una prdida por tenencia
cuando disminuye el valor de un activo o aumenta
el valor de un pasivo. El valor de las ganancias o prdidas por tenencias durante un perodo contable indica las ganancias o prdidas netas por tenencias
correspondientes a activos y pasivos de forma separada. En la prctica, el valor de las ganancias y prdidas por tenencias se calcula para cada activo y pasivo entre dos momentos determinados: el inicio
del perodo (o el momento en que se adquiere el activo o se contrae el pasivo) y el final del perodo (o
el momento en que se vende el activo o se extingue
el pasivo).
3.83 Las otras variaciones del volumen de los activos y pasivos financieros se registran a precios
equivalentes al precio de mercado de instrumentos
similares. En el caso de las cancelaciones contables
de instrumentos financieros valorados segn valores nominales, el valor registrado en la cuenta de
otras variaciones de los activos y pasivos financieros
debe corresponder a su valor nominal previo a la
cancelacin contable. En el caso de todas las reclasificaciones de activos y pasivos, los valores de
los instrumentos nuevos y viejos deben ser iguales.

c.

Valoracin de posiciones de activos y


pasivos financieros

3.84 Las posiciones en activos y pasivos financieros en


general debern valorarse como si hubieran sido adquiridas
en transacciones del mercado en la fecha de declaracin en
el balance. Muchos activos financieros se negocian
en los mercados con regularidad y, por consiguiente, pueden valorarse utilizando directamente
las cotizaciones del mercado. Si los mercados financieros estn cerrados en la fecha del balance, los
precios que se debern utilizar en la valoracin son
los que estaban vigentes en la fecha inmediatamente precedente en que los mercados estaban
abiertos. Los ttulos de deuda tienen un valor de
mercado corriente y un valor nominal, y para ciertos fines puede ser til contar con datos complementarios sobre los valores nominales de las posiciones de los ttulos de deuda (vase la definicin de
valor nominal en el prrafo 3.88 del MBP6).
3.85 Es necesario utilizar el equivalente de los precios de mercado para valorar los activos y pasivos financieros que no se negocian en mercados financieros o que se negocian con muy poca
frecuencia. En el caso de estos activos y pasivos, ser
necesario estimar los valores razonables que, en
efecto, se aproximan a los precios de mercado. El
valor presente de los flujos de caja tambin puede
usarse como una aproximacin a los precios de mercado, siempre que se pueda utilizar una tasa de descuento apropiada.

Territorio econmico
4.3 En el sentido ms amplio, el territorio econmico
puede ser cualquier zona geogrfica o jurisdiccin
sobre la cual se necesitan estadsticas. La conexin de
las entidades con un territorio econmico en particular est determinada por aspectos tales como la presencia fsica y la sujecin a la jurisdiccin del gobierno
del territorio. De estos aspectos trata la seccin del
captulo dedicada a la residencia (vanse los prrafos
4.1134.144 del MBP6).
4.4 El concepto de territorio econmico usado con
ms frecuencia es la zona que se encuentra bajo el
control econmico efectivo de un solo gobierno.
Para los efectos de las estadsticas globales y su declaracin al FMI, es importante tener datos sobre
todas las zonas entre ellas, las especiales bajo el
control de un gobierno determinado, aun si para los
fines estadsticos del gobierno esas zonas estn excluidas o figuran por separado. Otro tipo de territorio econmico es una unin monetaria o econmica
(vase el apndice 3 del MBP6). Otros tipos de territorio econmico son las partes de una economa,
una regin o el mundo en su totalidad. Los territorios econmicos reflejan todo tipo de alcance para
la poltica o el anlisis macroeconmico.
4.5 El territorio econmico incluye lo siguiente:
a) La zona terrestre
b) El espacio areo.
c) Las aguas territoriales, incluidas las zonas en las
cuales se ejerce jurisdiccin sobre los derechos de
pesca o los derechos sobre combustibles o minerales.
d) En un territorio martimo, las islas pertenecientes
al territorio.
e) Los enclaves territoriales en el resto del mundo.
Se trata de zonas terrestres claramente delimitadas
(embajada, consulado, base militar, estacin cientfica, oficina de informacin o inmigracin, organizacin de ayuda, representacin del banco central
con carcter diplomtico, etc.) que se encuentran
fsicamente ubicadas en otro territorio y que son
utilizadas por un gobierno arrendador o propietario
para fines diplomticos, militares, cientficos o de
otro tipo con el acuerdo poltico formal del gobierno del territorio en el cual se hallan ubicadas
fsicamente. Este tipo de zona puede estar compartida con otras organizaciones, pero para clasificarse
como enclave sus operaciones deben estar exentas
en gran medida de las leyes locales. Sin embargo,
las operaciones de un gobierno que estn ntegramente sujetas a las leyes de la economa anfitriona
no se consideran enclaves, sino como residentes de
esa economa.

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

S-xxi

ANEXO V. MARCO CONCEPTUAL DE LA BALANZA DE PAGOS Y DE


LA POSICIN DE INVERSIN INTERNACIONAL (conclusin)

4.6 El territorio econmico posee las dimensiones


de jurisdiccin legal y de ubicacin fsica, de modo
que las sociedades creadas en virtud de su legislacin forman parte de la economa. Los conceptos
de territorio econmico y de residencia sirven para
asegurar que cada unidad institucional es residente
de un solo territorio econmico. El uso de un territorio econmico para marcar la extensin de las estadsticas econmicas significa que cada miembro de
un grupo de empresas afiliadas forma parte de la
economa de la cual es residente, en lugar de ser imputado a la economa de la casa central. El nfasis en
los datos correspondientes a un territorio econmico
significa que, para los efectos estadsticos, a veces es
necesario dividir una entidad jurdica en unidades
separadas ubicadas en diferentes territorios, como se
detalla en los prrafos 4.264.49 del MBP6.

Definicin de una economa


4.11 Una economa est integrada por todas las
unidades institucionales residentes de un territorio
econmico determinado. []

Unidades

c) Tiene capacidad para contraer pasivos en nombre


propio, aceptar otras obligaciones o compromisos
futuros y suscribir contratos.
d) O bien tiene un conjunto completo de cuentas
que incluye un balance, o bien es econmica y jurdicamente posible y relevante elaborar un conjunto completo de cuentas cuando sea necesario.
Sin embargo, se reconocen como unidades institucionales las sucursales y las unidades residentes
hipotticas (como se explica en los prrafos 4.264.44 del MBP6) aunque no cumplan totalmente los
criterios a), b) y c).
4.14 En el mundo real hay dos grandes tipos de
unidades que pueden considerarse unidades institucionales, a saber:
a) Hogares, o sea, personas o grupos de personas.

4.13 Los principales atributos de una unidad institucional


son los siguientes:
a) Puede ser propietaria de bienes o activos por
derecho propio y, por lo tanto, puede intercambiar
la propiedad de bienes o activos mediante transacciones con otras unidades institucionales.

S-xxii

b) Tiene capacidad para tomar decisiones econmicas y realizar actividades econmicas de las que es
directamente responsable ante la ley.

b) Sociedades (o cuasisociedades), instituciones sin


fines de lucro y unidades del gobierno, o sea, entidades jurdicas o sociales cuya existencia es reconocida por la ley o la sociedad, independientemente
de qu personas o entidades sean sus propietarias o
las mantengan bajo su control.

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANEXO VI. CLASIFICACIN Y COMPONENTES NORMALIZADOS DE LA


BALANZA DE PAGOS Y LA POSICIN DE INVERSIN INTERNACIONAL (PII)
Componentes normalizados y partidas
informativas
1.15 En el apndice 9 del MBP6 se presenta una
lista de las partidas normalizadas para la presentacin y declaracin de la balanza de pagos y
posicin de inversin internacional. Las partidas
normalizadas estn conformadas por los componentes normalizados y las partidas informativas.
a) Los componentes normalizados son partidas que en su
totalidad forman parte del marco y contribuyen a los totales
y a las partidas equilibradoras.

Bienes
1. Mercancas generales
10.13 Mercancas generales segn la balanza de pagos
comprende los bienes cuya propiedad econmica se
traspasa entre un residente y un no residente y que no se
incluyen en las siguientes categoras especficas: Bienes en
compraventa (vanse los prrafos 10.4110.49 del
MBP6), oro no monetario (prrafos 10.5010.54 del
MBP6), partes de los viajes (prrafo 10.94 del MBP6),
construccin (prrafo 10.101 del MBP6), y bienes y servicios del gobierno n.i.o.p. (prrafo 10.173 del MBP6).

b) Las partidas informativas forman parte de la presentacin normalizada, pero no se utilizan para derivar totales ni partidas equilibradoras. []

2. Otros bienes

Adems,

10.41 La compraventa se define como la compra de un


bien por un residente (de la economa compiladora) a un no
residente y la reventa posterior del mismo bien a otro no
residente sin que dicho bien est presente en la economa
compiladora. La compraventa se produce en aquellas
transacciones de bienes en las que la posesin fsica
de los mismos por parte del propietario no es necesaria para que el proceso tenga lugar. []

c) Las partidas suplementarias estn fuera de la presentacin normalizada, pero se compilan dependiendo de
las circunstancias de cada economa, teniendo en cuenta
los intereses de las autoridades de poltica y los
analistas, as como los costos de los recursos
(vanse las partidas en bastardillas en el apndice 9
del MBP6).

Clasificacin general y detallada


2.13 Las diversas cuentas que conforman la balanza
de pagos se distinguen segn la naturaleza de los recursos econmicos suministrados y recibidos.

Cuenta corriente
2.14 La cuenta corriente muestra los flujos de bienes, servicios, ingreso primario e ingreso secundario entre residentes y no residentes. La cuenta corriente es una
agrupacin importante de cuentas dentro de la balanza de pagos. []
2.15 El saldo de estas cuentas se conoce como el
saldo de la cuenta corriente. El saldo en cuenta corriente muestra la diferencia entre la suma de las exportaciones e ingresos por cobrar y la suma de las
importaciones e ingresos por pagar (las exportaciones e importaciones se refieren tanto a bienes
como servicios, y el ingreso se refiere al ingreso primario y al secundario). Como se indica en el captulo 14 del MBP6, Cuestiones seleccionadas en el
anlisis de la balanza de pagos y la posicin de inversin internacional, el valor del saldo en cuenta
corriente equivale a la brecha de ahorro-inversin
de la economa, de modo que el saldo en cuenta
corriente guarda relacin con una comprensin de
las transacciones internas.

Cuenta de bienes y servicios


10.1 La cuenta de bienes y servicios muestra transacciones
en artculos que son resultado de actividades productivas.

a. Bienes en compraventa

b. Oro no monetario
10.50 El oro no monetario comprende todo oro
que no sea oro monetario. El oro monetario, como
se define en los prrafos 5.745.75 del MBP6,
pertenece a las autoridades monetarias y se
mantiene como activo de reserva. El oro no monetario puede adoptar la forma de lingotes (es decir,
el oro en lingotes puede tener la forma de monedas, lingotes o barras con una pureza de por lo
menos 995 partes por 1.000, incluido el oro mantenido en cuentas de oro con asignacin), polvo
de oro y oro en otras formas brutas o semielaboradas. Las joyas, relojes, etc. que contienen oro se
incluyen en las mercancas generales y no en el oro
no monetario. []

Servicios
a. Servicios de manufactura sobre
insumos fsicos pertenecientes a otros
10.62 Los servicios de manufactura sobre insumos fsicos
pertenecientes a otros comprenden la transformacin, ensamblaje, empaquetado, etc. realizados por empresas que
no son dueas de los bienes en cuestin. La manufactura
es realizada por una entidad que no es duea de los
bienes y que recibe un pago por parte de su dueo.
En estos casos, la propiedad de los bienes no cambia, de modo que no se registra ninguna transaccin correspondiente a mercancas generales entre
el transformador y el propietario de los bienes.

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

S-xxiii

ANEXO VI. CLASIFICACIN Y COMPONENTES NORMALIZADOS DE LA


BALANZA DE PAGOS Y LA POSICIN DE INVERSIN INTERNACIONAL (PII)
b. Servicios de mantenimiento y
reparaciones n.i.o.p.
10.72 Los servicios de mantenimiento y reparaciones n.i.o.p. comprenden los trabajos de reparacin
y mantenimiento realizados por residentes sobre bienes de propiedad de no residentes (y viceversa). Las
reparaciones pueden ser efectuadas en la sede del
reparador o en cualquier otra parte. []

c.

Transporte

10.74 Transporte es el proceso de llevar personas u objetos de una localidad a otra as como los servicios de apoyo
y auxiliares. Tambin se incluyen los servicios postales y de
mensajera. El transporte puede ser clasificado segn:
a) Modalidad de transporte, a saber, por va martima, area o de otro tipo. (Otro puede desglosarse an ms entre ferroviario, por carretera, por
vas de navegacin interiores, por tuberas y el
transporte espacial, as como la transmisin de energa elctrica).
b) Qu se transporta: pasajeros o carga.

d. Viajes

10.103 Si las operaciones externas de una empresa


de construccin son considerables, se puede constituir una sucursal residente en la economa de operacin (vanse los prrafos 4.274.29 del MBP6).
Por consiguiente, un gran proyecto de construccin
contratado por una empresa no residente cuya conclusin demora ms de un ao generalmente dar
origen a una sucursal residente. Por ende, habra
una relacin de inversin directa entre la casa matriz
y la sucursal; tambin se podran suministrar bienes
y servicios entre la sucursal y la casa matriz, por
ejemplo materiales. Como consecuencia de este
tratamiento, los contratos de construccin que se
emplean en el comercio internacional de servicios
generalmente tienen un carcter de corto plazo.

f.

10.86 Los asientos de crdito por viajes comprenden los


bienes y servicios para uso propio o donacin adquiridos en
una economa por no residentes durante su visita a esa
economa. Los asientos de dbito por viajes comprenden los
bienes y servicios para uso propio o donacin adquiridos en
otras economas por los residentes durante su visita a esas
economas. Los bienes y servicios pueden ser adquiridos por las personas interesadas o por un tercero en
su nombre. Por ejemplo, los viajes de negocios
pueden ser pagados o reembolsados por un empleador, los gastos de matrcula y sostenimiento de
un estudiante pueden ser pagados por un gobierno
o los gastos de salud pueden ser pagados o reembolsados por un gobierno o compaa de seguros.
Tambin se incluyen los bienes y servicios prestados por el productor sin un cobro explcito, por
ejemplo, matrcula y pensin suministrados por una
universidad.
10.87 La desagregacin por componentes normalizados de los viajes se hace entre viajes de negocios
y viajes personales, con datos suplementarios para
los grupos de inters especial, como los trabajadores fronterizos, de temporada y otros empleados temporales. Se sugiere otro desglose suplementario de los viajes por tipos de bienes y servicios
(vase el prrafo 10.95 del MBP6).

e. Construccin
10.101 La construccin comprende la creacin,
renovacin, reparacin o ampliacin de activos fijos
S-xxiv

en forma de edificios, mejoras de tierras en trminos


de ingeniera y otras construcciones de ingeniera de
ese tipo tales como carreteras, puentes, presas, etc.
Tambin incluye los trabajos conexos de instalacin
y ensamblaje. Incluye la preparacin del terreno y la
construccin en general, as como los servicios especializados, como la pintura, la plomera y la demolicin. Tambin incluye la gestin de los proyectos de construccin.

Servicios de seguros y pensiones

10.109 Los servicios de seguros y pensiones incluyen servicios de suministro de seguros de vida y
rentas vitalicias, seguros no de vida, reaseguros, seguros de fletes, pensiones, garantas normalizadas y
servicios auxiliares de los seguros, planes de jubilacin y mecanismos normalizados de garanta. En
el apndice 6c del MBP6 se ofrece ms informacin
sobre los seguros y pensiones.

g. Servicios financieros
10.118 Los servicios financieros comprenden los
servicios prestados por los intermediarios y auxiliares financieros, excepto los servicios prestados por
las compaas de seguros y los fondos de pensiones. Estos servicios incluyen los que suelen ser
prestados por los bancos y otras sociedades financieras. Incluyen la captacin de depsitos y la
concesin de prstamos, las cartas de crdito, los
servicios de tarjetas de crdito, las comisiones y
cargos relacionados con el arrendamiento financiero, factoring, colocacin y garanta de emisiones, y compensacin de pagos. Tambin incluyen los servicios de asesoramiento financiero,
custodia de activos financieros o metales, gestin
de los activos financieros, servicios de supervisin,
servicios de suministro de liquidez, servicios de
asuncin de riesgos diferentes de los seguros, servicios de fusiones y adquisiciones, servicios de calificacin del crdito, servicios de corretaje de valores y servicios fiduciarios.
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANEXO VI. CLASIFICACIN Y COMPONENTES NORMALIZADOS DE LA


BALANZA DE PAGOS Y LA POSICIN DE INVERSIN INTERNACIONAL (PII)
10.119 Los servicios financieros pueden cobrarse
de las siguientes maneras::
a) Cargos explcitos.
b) Diferenciales entre las transacciones de compra
y venta.
c) Gastos de gestin de activos deducidos del ingreso de la propiedad por cobrar en el caso de las
entidades tenedoras de activos.
d) Diferenciales entre los intereses pagaderos y las
tasas de referencia sobre los prstamos y depsitos
(denominados cargos por servicios de intermediacin financiera medidos indirectamente, que se
abrevian mediante la expresin SIFMI). []

h. Cargos por el uso de la propiedad


intelectual n.i.o.p.
10.137 Los cargos por el uso de la propiedad intelectual n.i.o.p. incluyen los siguientes cargos:
a) Cargos por el uso de derechos de propiedad
(como las patentes, marcas registradas, derechos de
autor, procesos y diseos industriales incluidos
los secretos comerciales y concesiones). Estos
derechos pueden surgir a partir de la investigacin y
desarrollo, as como del marketing.
b) Cargos por licencias para reproducir y/o distribuir
propiedad intelectual incorporada en originales o
prototipos producidos (como los derechos de autor
por libros y manuscritos, programas de informtica,
trabajos cinematogrficos y grabaciones de sonido)
y derechos conexos (por ejemplo, los correspondientes a presentaciones en vivo y transmisiones
por televisin, cable o va satlite). []

i.

Servicios de telecomunicaciones,
informtica y de informacin

10.141 Los servicios de informtica y telecomunicaciones se definen en funcin de la naturaleza del


servicio, no del mtodo de suministro. Para ilustrar
esto, el suministro de servicios empresariales, como
los servicios contables, se incluye en el rengln correspondiente de otros servicios empresariales,
aunque estos servicios sean prestados en su totalidad por telfono, computadoras o Internet. En los
servicios de telecomunicaciones deben incluirse
nicamente los montos pagaderos por trasmisin;
los contenidos descargados deben incluirse en la
respectiva partida (servicios de informtica, informacin, audiovisuales, etc.).

j.

Otros servicios empresariales

Incluyen: Servicios de investigacin y desarrollo; Servicios de consultora profesional y en administracin;

Servicios tcnicos, relacionados con el comercio y


otros servicios empresariales; Tratamiento de residuos
y descontaminacin, servicios agrcolas y mineros;
Arrendamiento operativo; Servicios relacionados con
el comercio; y Otros servicios empresariales

k. Servicios personales, culturales


y recreativos
10.161 Servicios personales, culturales y recreativos
abarca a) servicios audiovisuales y conexos y b)
otros servicios personales, culturales y recreativos.

l.

Bienes y servicios del gobierno n.i.o.p.

10.173 Los bienes y servicios del gobierno n.i.o.p.


comprenden:
a) Los bienes y servicios suministrados por enclaves,
tales como las embajadas, bases militares y organismos internacionales, y los suministrados a ellos.
b) Los bienes y servicios adquiridos de la economa
anfitriona por el personal diplomtico, consular y
militar destacado en el extranjero y sus dependientes.
c) Los servicios suministrados por los gobiernos y
a ellos, no incluidos en otras categoras de
servicios. []

Cuenta del ingreso primario


11.8 Las cuentas internacionales hacen una distincin entre los siguientes tipos de ingreso primario:
a) Remuneracin de empleados.
b) Dividendos.
c) Utilidades reinvertidas.
d) Intereses.
e) Ingreso de la inversin atribuible a titulares de
plizas de seguros, garantas normalizadas y fondos
de pensiones.
f) Renta.
g) Impuestos y subsidios a los productos y la
produccin. []

Ingreso de la inversin y
categoras funcionales
1. Ingreso de la inversin directa
11.96 El ingreso de la inversin directa incluye la
totalidad del ingreso de la inversin derivado de
posiciones de inversin directa entre unidades institucionales residentes y no residentes. []

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

S-xxv

ANEXO VI. CLASIFICACIN Y COMPONENTES NORMALIZADOS DE LA


BALANZA DE PAGOS Y LA POSICIN DE INVERSIN INTERNACIONAL (PII)
11.97 Las relaciones de inversin directa se definen
en los prrafos 6.86.24 del MBP6. Se pueden distinguir tres tipos de relacin de inversin directa, con los
correspondientes flujos de ingreso de la inversin:
a) Inversin de inversionistas directos en empresas
de inversin directa. Esta categora incluye flujos de
ingreso de la inversin (utilidades distribuidas, utilidades reinvertidas e intereses) entre el inversionista
directo y sus empresas de inversin directa (haya o
no una relacin inmediata).
b) Inversin en sentido contrario (definida en el
prrafo 6.40 del MBP6). Este tipo de relacin abarca
los flujos de ingreso de la inversin generados por
pasivos de los inversionistas directos hacia sus empresas de inversin directa y por derechos de las
empresas de inversin directa frente a sus inversionistas directos.
c) Entre empresas emparentadas. Aqu se incluyen
los flujos de ingreso de la inversin entre todas las
empresas emparentadas pertenecientes al mismo
grupo de inversin directa.
En cualquiera de estos tipos de relacin de inversin
directa puede haber dividendos, retiros de ingresos
de cuasisociedades e intereses. Las utilidades reinvertidas se atribuyen a los inversionistas directos
nicamente cuando su participacin de capital alcanza el nivel de 10%. []

2. Ingreso procedente de la inversin en


sentido contrario
11.103 El ingreso de la inversin de cartera incluye
los flujos de ingresos entre residentes y no residentes
que surgen de posiciones en participaciones de capital y ttulos de deuda distintos de los clasificados
como inversin directa o activos de reserva. []

Cuenta del ingreso secundario


12.1 La cuenta del ingreso secundario muestra las transferencias corrientes entre residentes y no residentes. En esta
cuenta se asientan distintos tipos de transferencia
corriente para mostrar la funcin que desempean
en el proceso de distribucin del ingreso entre las
economas. Las transferencias pueden ser en efectivo o en especie. []
12.7 Una transferencia es un asiento correspondiente al
suministro de un bien, servicio, activo financiero u otro activo
no producido por parte de una unidad institucional a otra
unidad institucional sin obtener a cambio un artculo de
valor econmico. []
12.20 Las cuentas internacionales clasifican los
siguientes tipos de transferencias corrientes:

Transferencias personales
Otras transferencias corrientes
a) Impuestos corrientes sobre el ingreso, el patrimonio, etc.
b) Contribuciones sociales.
c) Prestaciones sociales.
d) Primas netas de seguros no de vida.
e) Reclamaciones de indemnizacin de seguros
no de vida.

3. Otro ingreso de la inversin

f) Cooperacin internacional corriente.

11.106 El otro ingreso de la inversin comprende


los flujos, entre unidades institucionales residentes y
no residentes, de intereses por depsitos, prstamos,
crditos y anticipos comerciales y otras cuentas por
cobrar y por pagar; ingreso procedente de participaciones de capital y participaciones en fondos de inversin que no estn clasificadas en ninguna otra categora funcional, e ingreso de la inversin atribuible
a titulares de plizas de seguros, garantas normalizadas y fondos de pensiones. Los intereses pagaderos por asignaciones de DEG tambin se asientan como otro ingreso de la inversin. Los cargos por
prstamos de oro no monetario deben incluirse junto
con los intereses en otro ingreso de la inversin []

g) Transferencias personales. []

4. Ingreso procedente de activos


de reserva
11.109 [] El ingreso de la inversin procedente
de activos de reserva incluye el ingreso procedente
S-xxvi

de participaciones de capital y participaciones en


fondos de inversin, as como los intereses. [] Si
no se dispone de datos para la publicacin, el ingreso
procedente de activos de reserva debe incluirse en
otra inversin (intereses).

12.21 Las transferencias personales consisten en todas las


transferencias corrientes, en efectivo o en especie, de hogares residentes a favor de hogares no residentes, o viceversa.
Por lo tanto, las transferencias personales incluyen todas
las transferencias corrientes entre personas residentes y no
residentes, independientemente de los siguientes factores:
a) La fuente del ingreso del transferente []
b) La relacin entre los hogares []

Cuenta de capital
2.16 La cuenta de capital muestra los asientos de
crdito y dbito de los activos no financieros no
producidos y las transferencias de capital entre
residentes y no residentes. Es decir, registra las
adquisiciones y disposiciones de activos no financieros
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

ANEXO VI. CLASIFICACIN Y COMPONENTES NORMALIZADOS DE LA


BALANZA DE PAGOS Y LA POSICIN DE INVERSIN INTERNACIONAL (PII)
no producidos, como las ventas de tierras a embajadas
y ventas de contratos de arrendamiento y licencias, as
como transferencias de capital, es decir, el suministro
de recursos para fines de capital por una parte sin
recibir directamente nada de valor econmico a
cambio. Esta cuenta se describe ms detalladamente
en el captulo 13 del MBP6.
13.8 Los activos no financieros no producidos abarcan lo siguiente:
a) Recursos naturales
b) Contratos, arrendamientos y licencias
c) Activos de comercio (y fondos de comercio).
13.19 Las transferencias de capital son transferencias en
las que se traspasa la propiedad de un activo (distinto del
efectivo y de las existencias) de una parte a otra; o que
obligan a una o a ambas partes a adquirir o disponer de un
activo (distinto del efectivo y de las existencias), o en las que
el acreedor condona una obligacin. []

Registro en cifras brutas y netas


2.19 Las cuentas corriente y de capital muestran las
transacciones en valores brutos. En cambio, la
cuenta financiera muestra las transacciones en cifras
netas, separando los pasivos y los activos financieros (es decir, las transacciones netas en activos financieros muestran la adquisicin de activos
menos la reduccin de activos, no los activos
menos los pasivos). []

Errores y omisiones netos


2.24 Si bien en principio las cuentas de la balanza
de pagos estn equilibradas, en la prctica surgen
desequilibrios por imperfecciones en los datos
fuente y la compilacin. Este desequilibrio, que es
una caracterstica comn en los datos de la balanza
de pagos, recibe el nombre de errores y omisiones
netos y debe sealarse por separado en los datos
publicados. No debe ser incluido en otras partidas
sin distincin alguna. Errores y omisiones netos se
deriva por residuo como el prstamo neto/endeudamiento neto derivado de la cuenta financiera
menos la misma partida derivada de las cuentas corriente y de capital. Por consiguiente, un valor positivo en la cuenta de errores y omisiones netos indica
una tendencia general a una o varias de las posibilidades siguientes:
a) El valor de los crditos en las cuentas corriente y
de capital es demasiado bajo.
b) El valor de los dbitos en las cuentas corriente y
de capital es demasiado alto.
c) El valor del aumento neto de los activos en la
cuenta financiera es demasiado alto.

d) El valor del aumento neto de los pasivos en la


cuenta financiera es demasiado bajo.
(Si los errores y omisiones netos tienen un valor
negativo, las tendencias sern las contrarias).

Cuenta financiera y posicin de inversin


internacional
2.17 La cuenta financiera muestra la adquisicin y
disposicin netas de activos y pasivos financieros.
Esta cuenta se describe en el captulo 8 del MBP6.
Las transacciones de la cuenta financiera aparecen
en la balanza de pagos y, por su efecto sobre la posicin de activos y pasivos, tambin en el estado integrado de la PII.
2.18 La suma de los saldos de las cuentas corriente
y de capital representa el prstamo neto (supervit)
o endeudamiento neto (dficit) de la economa
frente al resto del mundo. Conceptualmente, esto
equivale al saldo neto de la cuenta financiera. Dicho
de otro modo, la cuenta financiera mide la forma
como se financia el prstamo neto o el endeudamiento neto frente a no residentes. La cuenta financiera sumada a la cuenta de otras variaciones explica el cambio sufrido por la PII entre el comienzo
y el final del perodo.
2.11 El nivel de clasificacin ms alto utilizado en
la PII, la cuenta financiera y la cuenta de otras variaciones de los activos y pasivos financieros, es la
clasificacin funcional, que se discute en el captulo
6 del MBP6. []

1. Inversin directa
6.8. La inversin directa es una categora de la inversin
transfronteriza relacionada con el hecho de que un inversionista residente en una economa ejerce el control o un
grado significativo de influencia sobre la gestin de una empresa que es residente en otra economa. Adems de la
participacin de capital que entraa control o influencia, la inversin directa tambin incluye inversiones conexas con esa relacin, incluida la inversin en empresas bajo el control o influencia
indirectos (prrafo 6.12 del MBP6), la inversin en
empresas emparentadas (vase el prrafo del
MBP6), deuda (excepto cierta deuda que se define
en el prrafo 6.28) y la inversin en sentido contrario (vase el prrafo del MBP6). El Marco para las
Relaciones de Inversin Directa (MRID) ofrece criterios para determinar si una propiedad transfronteriza se traduce en una relacin de inversin directa, segn el grado de control y/o influencia
ejercidos. La definicin de inversin directa es la
misma que se utiliza en la cuarta edicin de OECD
Benchmark Definition of Foreign Direct Investment, que
ofrece detalles adicionales sobre el MRID y la recopilacin de datos sobre la inversin directa. []

2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

S-xxvii

ANEXO VI. CLASIFICACIN Y COMPONENTES NORMALIZADOS DE LA


BALANZA DE PAGOS Y LA POSICIN DE INVERSIN INTERNACIONAL (PII)
2. Inversin de cartera
6.54 La inversin de cartera se define como las transacciones y posiciones transfronterizas que implican ttulos de
deuda o de participacin en el capital, distintos de los incluidos en la inversin directa o los activos de reserva. [] La
negociabilidad de los ttulos es una forma de facilitar su intercambio, lo que les permite tener diferentes dueos en el curso de su vida til. La negociabilidad permite a los inversionistas diversificar
sus carteras y retirar sus inversiones de inmediato.
La inversin de cartera incluye las acciones o
unidades en fondos de inversin (es decir, las emitidas por fondos de inversin) que se evidencian mediante ttulos que no son activos de reserva ni inversin directa. Si bien los derivados financieros
negociados en bolsa son instrumentos negociables,
no se incluyen en la inversin de cartera porque
estn incluidos en una categora especial.
6.57 La inversin de cartera puede presentarse por
instrumentos, por plazo de vencimiento original o
residual, o por sector institucional. []

3. Derivados financieros (distintos de


reservas) y opciones de compra de
acciones por parte de empleados
6.58 La definicin de la categora funcional correspondiente a los derivados financieros (distintos de
reservas) y opciones de compra de acciones por
parte de empleados coincide en gran medida con la
respectiva clase de instrumentos financieros, que se
examina ms detalladamente en los prrafos
5.795.98 del MBP6. La diferencia de cobertura
entre la categora funcional y por instrumento financiero es que los derivados financieros relacionados con la gestin de activos de reserva no se incluyen en la categora funcional sino en la de activos
de reserva (vase el prrafo 6.91 del MBP6). Esta categora se indica en forma separada de las dems categoras porque se refiere a la transferencia de riesgos
y no al suministro de fondos u otros recursos.
6.59 Al contrario de otras categoras funcionales, de
los derivados financieros no se devenga ningn ingreso primario. Todo monto devengado en virtud
del contrato se clasifica como revaloraciones y se incluye en la cuenta de otras variaciones de los activos
y pasivos. []

4. Otra inversin
6.61 Otra inversin es una categora residual que incluye
las posiciones y transacciones que no se incluyen en la inversin directa, la inversin de cartera, los derivados financieros y las opciones de compra de acciones por parte de
empleados, y los activos de reserva. En la medida en que
las siguientes clases de activos y pasivos financieros
no se incluyen ni en la inversin directa ni en los acS-xxviii

tivos de reserva, otra inversin incluye los siguientes componentes:


a) Otras participaciones de capital.
b) Moneda y depsitos.
c) Prstamos (incluido el uso de crdito del FMI y
prstamos del FMI).
d) Reservas tcnicas de seguros no de vida, seguros
de vida y derechos a rentas vitalicias, derechos en
fondos de pensiones y provisiones para las peticiones
de fondos en virtud de garantas normalizadas.
e) Crditos y anticipos comerciales.
f) Otras cuentas por cobrar/por pagar.
g) Asignaciones de DEG [].

Derechos especiales de giro


5.34 Los derechos especiales de giro (DEG) son activos internacionales de reserva creados por el FMI, que los asigna
a sus miembros para complementar sus activos de reserva.
Los DEG son mantenidos exclusivamente por las
autoridades monetarias de los pases miembros del
FMI y por un limitado nmero de instituciones financieras internacionales autorizadas. Las tenencias
de DEG representan derechos incondicionales de
obtener divisas u otros activos de reserva de pases
miembros del FMI. []
5.35 Las tenencias de DEG por un pas miembro
del FMI son registradas como activo, mientras que
las asignaciones de DEG se registran como la
emisin de un pasivo del pas miembro que las
recibe (al existir una obligacin de reembolso de la
asignacin en ciertas circunstancias, y devengarse
intereses). Las tenencias y asignaciones deben expresarse en cifras brutas, no netas.

5. Reservas
6.64 Los activos de reserva se definen como activos externos que estn disponibles de inmediato y bajo el control de las
autoridades monetarias para satisfacer necesidades de financiamiento de la balanza de pagos, para intervenir en los mercados cambiarios a fin de influir sobre el tipo de cambio y
para otros fines conexos (como el mantenimiento de la confianza en la moneda y la economa y servir como base para el
endeudamiento externo). Los activos de reserva deben
ser activos en moneda extranjera y estar realmente
constituidos. Se excluyen los activos potenciales. El
concepto de activos de reserva se basa en las condiciones de control efectivo y disponibilidad de los
activos por parte de las autoridades monetarias. La
composicin de los activos de reserva y los pasivos
relacionados con las reservas se ilustra en el recuadro 6.5 del MBP6.
2012, International Monetary Fund : Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Part 1
COUNTRY TABLES

International Monetary Fund. Not for Redistribution

Albania

914
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
571.5
670.9 1,150.8 2,018.4 1,851.3 1,352.8 1,561.6
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,865.5

1,940.5

2,582.4

3,397.8

3,159.2

2,575.6

2,867.4

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,519.2
225.1

1,426.3
156.7

1,673.6
242.0

1,643.1
263.7

1,529.3
221.4

1,427.3
204.5

1,463.0
157.2

B. Capital Account........................................... 20999F B AA

....

122.9

179.8

123.6

115.3

118.8

112.3

118.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

122.9
....

448.6

179.8
....

491.1

123.6
....

195.4
80.1

213.8
95.0

210.3
98.0

215.9
97.7

C. Financial Account......................................... 30999F N AA

....

392.6

523.4

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

4.1
4.1
....

10.5
10.5
....

4.9
4.9
....

366.7
94.0
272.7

391.6
38.3
353.3

46.0
17.3
28.7

370.8
158.8
212.0

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

262.5
262.5
....

325.1
75.7
249.5

652.3
460.3
191.9

1,241.0
881.4
359.6

1,343.1
1,038.0
305.1

1,089.4
1,051.5
37.9

1,369.7
1,277.6
92.1

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

5.7
....
5.7

34.2
....
34.2

25.8
....
25.8

83.5
....
83.5

18.7
.6
18.1

110.5
....
110.5

126.8
26.0
100.8

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

45.7
23.3
22.4

3.6
4.1
.4

430.7
6.9
423.9

55.6
2.4
53.2

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

2.5
2.5
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

6.6
....
6.6

210.7
....
210.7

88.1
....
88.1

286.7
....
286.7

62.1
....
62.1

244.9
....
244.9

413.4
....
413.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

133.2
....
133.2

385.2
....
385.2

272.8
....
272.8

1,034.9
....
1,034.9

261.2
....
261.2

396.1
....
396.1

659.9
....
659.9

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

Conversion rates: leks per U.S. dollar............... RFZ F B

....

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

194.1
2,117.5

223.6
2,499.8

359.8
3,419.7

546.1
4,358.7

403.6
3,795.8

736.9
3,775.1

962.1
4,460.7

1,923.3

2,276.1

3,059.9

3,812.5

3,392.2

3,038.1

3,498.7

1,266.7
1,382.9

1,645.9
1,573.4

2,104.6
1,924.4

2,732.1
2,372.2

2,657.8
2,232.6

2,587.2
2,006.7

2,814.4
2,248.8

2,039.6

2,203.5

2,879.7

3,452.6

2,966.9

2,457.7

2,933.0

226.7
52.6

332.1
69.1

382.4
85.1

472.9
418.1

377.4
569.7

380.0
497.8

375.5
309.9

56.0

1,027.2

1,903.1

1,732.5

857.8 2,158.0 1,289.9

32.2

169.3

203.8

237.0

147.8

269.2

150.7
3.0
....
99.87

1,240.5

1,443.4

722.6 1,176.6

254.9

442.6

517.9

266.7

189.0

14.2

417.6

442.3

238.8

19.7

269.1

25.0

75.6

27.9

265.1
4.1
....

202.3
7.0
189.7

261.9
7.4
.2

34.9
10.3
.3

236.5
12.3
324.4

37.7
12.0
2.3

98.10

90.43

83.89

94.98

103.94

100.89

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
2
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Albania

914
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
571.5
670.9 1,150.8 2,018.4 1,851.3 1,352.8 1,561.6
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 2,039.6 2,203.5 2,879.7 3,452.6 2,966.9 2,457.7 2,933.0
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
1,460.8
1,869.6
2,464.4
3,278.3
3,061.5
3,324.1
3,776.5
....
3,500.3
4,073.1
5,344.1
6,730.9
6,028.4
5,781.8
6,709.5
. . . . 1,923.3 2,276.1 3,059.9 3,812.5 3,392.2 3,038.1 3,498.7
....
194.1
223.6
359.8
546.1
403.6
736.9
962.1
....
194.1
233.1
359.5
542.9
398.7
720.8
960.6
....
....
9.5
.4
3.3
4.9
16.2
1.4
....
....
....
....
....
....
....
....
....
2,117.5 2,499.8 3,419.7 4,358.7 3,795.8 3,775.1 4,460.7
....
2,117.5
2,499.8
3,419.7
4,358.7
3,795.8
3,775.1
4,460.7
....
....
....
....
....
....
....
....
....
116.2
72.6
180.1
359.9
425.3
580.4
565.6
....
1,266.7
1,645.9
2,104.6
2,732.1
2,657.8
2,587.2
2,814.4
....
1,382.9
1,573.4
1,924.4
2,372.2
2,232.6
2,006.7
2,248.8
....
102.1
144.0
160.6
264.5
178.6
296.9
378.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
126.3
163.4
158.5
217.5
262.8
249.8
320.3
26.4
44.5
101.0
135.1
185.1
166.7
201.3
....
....
72.7
86.0
56.5
75.6
63.7
80.9
99.6
....
27.2
32.9
1.0
6.9
14.0
2.2
19.3
....
226.6
250.1
245.8
350.3
326.4
316.7
382.5
21.5
24.1
62.6
89.0
106.6
92.2
112.7
....
....
173.8
205.1
175.1
249.1
213.9
216.7
259.7
....
31.3
20.9
8.1
12.2
6.0
7.8
10.1
....
853.9 1,012.1 1,378.3 1,713.2 1,828.5 1,612.8 1,632.5
....
211.5
233.9
251.6
320.6
417.3
330.3
393.0
....
642.4
778.2
1,126.7
1,392.6
1,411.2
1,282.5
1,239.5
....
786.1
964.6 1,268.1 1,554.9 1,585.8 1,361.5 1,565.0
....
167.9
191.8
325.4
278.5
412.5
485.2
440.4
....
618.3
772.8
942.6
1,276.4
1,173.3
876.4
1,124.6
....
184.4
326.4
407.1
537.0
387.9
427.8
482.8
....
2.7
2.3
7.8
24.5
37.7
32.5
84.8
....
5.7
3.6
6.9
5.3
3.8
1.7
3.8
....
16.0
25.8
42.5
69.2
20.0
2.9
14.4
....
.5
.7
7.5
39.1
17.2
.7
13.3
....
74.4
53.8
70.4
163.1
161.3
106.2
108.2
....
56.6
159.0
182.5
164.0
61.0
174.4
188.4
....
18.1
58.3
67.5
13.4
17.6
57.9
30.9
....
10.4
22.9
22.0
58.4
69.2
51.5
38.9
....
370.1
358.7
410.6
467.0
320.4
328.5
301.3
....
1.6
2.0
28.6
5.6
18.8
8.5
3.8
....
30.5
35.9
65.5
120.0
84.7
78.7
91.3
....
17.4
20.2
25.2
30.0
23.2
13.3
15.0
....
4.2
6.8
11.9
12.4
14.4
12.2
12.7
....
18.0
10.7
21.0
102.6
58.2
53.4
66.7
....
129.2
137.5
155.8
138.1
67.7
103.1
48.6
....
104.0
112.9
70.1
39.9
36.7
41.1
50.2
....
65.2
32.6
32.6
18.4
16.7
18.2
12.9
....
....
....
....
....
....
....
....
....
....
....

174.1
226.7
52.6
129.0
6.5
97.7
.4
.4
.4
....
....

263.0
332.1
69.1
183.9
26.5
148.2
13.3
13.3
13.3
....
....

297.3
382.4
85.1
163.5
9.9
219.0
18.8
18.8
18.8
....
....

54.8
472.9
418.1
269.5
15.9
203.5
35.6
35.5
4.1
31.4
.1

192.3
377.4
569.7
227.3
8.6
150.1
45.2
36.5
25.9
10.7
8.7

117.8
380.0
497.8
231.7
15.3
148.3
19.8
15.8
14.7
1.1
4.0

65.6
375.5
309.9
196.8
14.2
178.7
40.0
20.6
15.0
5.6
19.4

_______________________________________________________________________________________________________________________________
3
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Albania

914
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

37.0
7.9
....
....
29.2
60.2
....
60.2
....
....
....
....
46.1
2.1
2.1
2.1
....
....
11.3
10.8
....
....
.4
32.7
....
32.7
....
....
....

51.4
22.4
....
....
29.0
83.6
....
83.6
....
....
....
....
42.6
4.6
4.6
4.6
....
....
1.9
1.2
....
....
.8
36.1
....
36.1
....
....
....

88.5
18.8
....
....
69.8
111.7
....
111.7
....
....
....
....
75.2
8.6
8.6
8.6
....
....
8.6
8.6
....
....
....
58.1
....
58.1
....
....
....

35.5
21.6
....
....
13.9
132.4
....
132.4
....
....
....
....
402.2
301.2
292.7
13.9
278.8
8.5
5.8
5.6
....
....
.2
95.2
....
95.2
....
....
....

20.5
.4
....
....
20.1
84.4
....
84.4
....
....
....
....
561.0
447.8
447.0
127.5
319.5
.9
4.6
2.9
....
....
1.7
108.6
....
108.6
....
....
....

46.8
.2
....
....
46.6
81.7
....
81.7
....
....
....
....
482.5
380.9
370.3
123.8
246.5
10.6
7.9
4.4
....
....
3.5
93.7
....
93.7
....
....
....

59.0
.6
....
....
58.4
79.7
....
79.7
....
....
....
....
295.8
119.0
109.4
18.9
90.4
9.7
40.7
7.9
....
....
32.8
136.0
....
136.0
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,294.0
1,519.2
80.2
1,439.0
1,160.7
278.3
225.1
4.7
220.5
....
220.5

1,269.6
1,426.3
62.3
1,364.1
1,175.6
188.5
156.7
9.5
147.3
....
147.2

1,431.6
1,673.6
82.9
1,590.7
1,304.6
286.1
242.0
.6
241.4
....
241.4

1,379.4
1,643.1
46.1
1,597.0
1,225.5
371.5
263.7
....
263.7
....
263.7

1,307.9
1,529.3
37.9
1,491.4
1,091.2
400.2
221.4
....
221.4
1.4
220.0

1,222.8
1,427.3
69.4
1,357.9
924.3
433.6
204.5
10.2
194.3
8.9
185.4

1,305.8
1,463.0
39.0
1,424.0
965.0
459.0
157.2
9.8
147.4
7.0
140.3

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

122.9
....
....
122.9
122.9
....
122.9
....
....
....
....
....
....

179.8
....
....
179.8
179.8
....
179.8
....
....
....
....
....
....

123.6
....
....
123.6
46.7
....
46.7
77.0
....
....
....
....
....

115.3
....
....
195.4
42.6
....
42.6
152.8
80.1
5.8
....
5.8
74.3

118.8
....
....
213.8
45.1
....
45.1
168.7
95.0
1.2
....
1.2
93.8

112.3
....
....
210.3
29.8
....
29.8
180.5
98.0
.3
....
.3
97.7

118.3
....
....
215.9
27.5
....
27.5
188.5
97.7
1.0
....
1.0
96.6

FINANCIAL ACCOUNT........................................ 30999S N AA

....

244.8

254.1

838.2 1,888.9 1,314.9

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

258.4
4.1
4.1
4.1
4.1
....
....
....
....
....
....
....

314.6
10.5
10.5
10.5
10.5
....
....
....
....
....
....
....

647.4
4.9
4.9
4.9
4.9
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

874.3
366.7
94.0
62.6
51.1
11.5
....
31.4
272.7
2.7
270.0
....

798.2 1,204.5

951.5 1,043.4
391.6
46.0
38.3
17.3
27.6
16.2
26.4
5.4
1.2
10.8
....
....
10.7
1.1
353.3
28.7
3.3
....
350.0
28.7
....
....

998.8
370.8
158.8
153.2
16.0
137.2
....
5.6
212.0
20.9
191.1
....

_______________________________________________________________________________________________________________________________
4
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Albania

914
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

262.5
262.5
262.5
262.5
....
....
....
....
....
....
....

325.1
75.7
75.7
75.8
.1
....
....
249.5
249.5
....
....

652.3
460.3
460.3
470.1
9.8
....
....
191.9
192.2
.2
....

1,241.0
881.4
602.6
601.6
1.0
....
278.8
359.6
359.6
....
....

1,343.1
1,038.0
718.5
718.0
.5
....
319.5
305.1
304.5
.6
....

1,089.4
1,051.5
805.0
805.0
....
....
246.5
37.9
37.9
....
....

1,369.7
1,277.6
1,187.1
1,185.7
1.4
....
90.4
92.1
91.7
.4
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5.7
5.7
....
....
....
....
....
....
5.7
....
5.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

34.2
34.2
....
....
....
....
....
....
34.2
....
34.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

25.8
25.8
....
....
....
....
....
....
25.8
....
25.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

37.8
83.5
....
....
....
....
....
....
83.5
....
83.0
....
.5
....
45.7
23.3
....
16.9
....
6.4
....
22.4
....
....
....
22.4
....

15.1
18.7
.6
....
.6
....
....
....
18.1
....
18.3
....
.2
....
3.6
4.1
....
4.5
....
.4
....
.4
....
....
....
.4
....

320.2
110.5
....
....
....
....
....
....
110.5
....
112.5
....
2.0
....
430.7
6.9
....
.5
....
6.3
....
423.9
....
....
407.1
16.8
....

71.2
126.8
26.0
....
25.5
....
.5
....
100.8
....
100.8
....
....
....
55.6
2.4
....
4.8
....
7.2
....
53.2
....
....
....
53.2
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

2.5
2.5
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

142.8
6.6
....
6.6
....
8.5
....
1.9
....
136.2
....
....
136.2
1.5
20.7
50.4
63.6
....

170.4
210.7
....
210.7
.6
212.5
....
2.4
....
381.1
....
....
381.1
5.4
244.1
51.9
90.5
....

367.3 1,314.3
88.1
286.7
....
....
88.1
286.7
6.0
7.8
78.2
283.4
....
....
3.9
4.6
....
....
455.4 1,027.7
....
....
....
....
455.4 1,027.7
7.9
7.7
311.7
442.9
87.7
445.1
63.9
147.4
....
....

313.3
62.1
....
62.1
9.1
74.7
....
3.5
....
251.2
....
72.7
178.6
10.6
329.4
417.2
101.4
....

328.9
244.9
....
244.9
16.4
219.9
....
8.6
....
84.0
....
....
84.0
12.6
24.3
107.6
60.5
....

236.7
413.4
....
413.4
.4
395.8
....
18.0
....
650.1
....
....
650.1
12.2
330.3
211.3
120.7
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

150.7
....
82.1
....
232.8

265.1
....
4.2
....
269.3

202.3
....
7.4
....
209.7

261.9
....
5.7
....
256.2

34.9
....
71.6
....
106.5

236.5
....
.3
....
236.2

37.7
....
1.0
....
36.6

NET ERRORS AND OMISSIONS.........................

....

203.8

237.0

189.0

14.2

417.6

442.3

238.8

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
5
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Albania

914
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
....
....
3,688.6 4,059.1 4,324.3 4,759.7
Direct investment............................................. 8A9999 A AA
....
....
....
198.2
648.5
972.8
945.9
Equity and investment fund shares................. 8AA000 A AA
....
....
....
77.0
164.5
181.2
184.1
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
12.5
4.8
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
9.0
5.0
....

77.0
....
....
121.1
....
121.1
....
89.9
....
....
....
....
....
....
89.9
....
89.9
....
....
....
....
1,255.8
....
1,255.8
83.6
1,165.2
....
7.0
....
2,144.7
42.3
1.9
5.3
2,095.1

153.8
10.7
....
484.0
2.5
481.5
....
154.6
1.0
....
.9
....
.1
....
153.6
....
153.2
....
.4
....
....
896.6
....
896.6
72.0
814.4
....
10.3
....
2,359.4
43.9
7.2
5.2
2,303.0

170.2
11.0
....
791.6
5.7
785.9
....
149.0
.4
....
.3
....
.1
....
148.6
....
148.0
....
.6
....
....
831.8
....
831.8
75.4
743.4
....
13.0
....
2,370.7
55.8
79.0
5.3
2,230.6

162.9
21.2
....
761.9
8.9
753.0
....
242.7
.6
....
.5
....
....
....
242.2
....
241.6
....
.6
....
....
1,029.5
....
1,029.5
73.4
935.4
....
20.7
....
2,541.6
71.4
78.1
5.2
2,386.9

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
76.7
5.2
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,760.8
2,790.4
2,391.8
2,389.2
2.6
....
398.6
398.6
....
....
158.2
85.2
....
12.1
....
73.1
....
73.0
....
....
....
73.0
....

7,337.0
3,373.7
2,571.5
2,562.7
8.8
....
802.2
802.2
....
....
202.3
99.7
....
23.5
....
76.2
....
102.6
....
....
....
102.6
....

8,346.5
4,022.1
3,112.0
3,103.4
8.6
....
910.1
909.5
.7
....
202.4
97.1
....
18.7
....
78.3
....
105.3
....
....
....
105.3
....

8,822.5
4,314.7
3,439.7
3,423.1
16.6
....
875.0
873.5
1.5
....
608.4
95.7
....
16.7
....
79.0
....
512.7
....
....
398.3
114.4
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
6
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Albania

914
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: leks per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
2,812.2
....
....
2,812.2
104.2
612.7
1,450.9
644.5
....

....
3,761.0
....
....
3,761.0
93.7
1,005.9
1,864.3
797.1
....

....
4,122.0
....
72.8
4,049.2
84.6
690.3
2,369.2
905.1
....

....
3,899.5
....
71.5
3,828.0
127.6
615.5
2,177.4
907.5
....

....
....
....
....
....
....
....
....
....
....

....

....

....

2,072.2 3,277.9 4,022.2 4,062.8

....

....

103.58

94.14

82.89

87.91

95.81

104.00

107.54

_______________________________________________________________________________________________________________________________
7
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Algeria

612
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
. . . . 21,083.0 28,824.0 30,425.0 34,231.0
159.0 11,832.0 19,393.3
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

19,113.0

27,312.0

28,412.0

31,666.0

2,231.0

9,496.0

17,042.0

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

2,250.0
280.0

1,959.0
447.0

2,420.0
407.0

2,789.0
224.0

2,690.0
300.0

2,661.0
325.0

3,016.2
664.9

B. Capital Account........................................... 20999F B AA

....

3.0

5.0

1.0

1.0

....

4.0

1.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
3.0

....
5.0

1.0
2.0

....
1.0

....
....

10.0
6.0

.1
1.4

C. Financial Account......................................... 30999F N AA

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

55.0
55.0
....

79.0
74.0
5.0

467.0
388.0
79.0

399.0
120.0
279.0

507.0
231.0
276.0

287.0
194.0
93.0

693.1
630.7
62.3

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,156.0
1,156.0
....

1,841.0
1,735.0
106.0

1,834.0
1,694.0
140.0

2,675.0
2,527.0
148.0

3,053.0
2,954.0
99.0

2,331.0
2,282.0
49.0

2,720.5
2,690.9
29.6

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

5.0
5.0
....

....
....
....

....
....
....

1,435.0
1.0
1,434.0

8.3
....
8.3

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

1,720.0
....
1,720.0

231.0
....
231.0

1,425.0
....
1,425.0

3,032.0
....
3,032.0

347.0
....
347.0

316.0
....
316.0

609.4
....
609.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

....
....
....
....

4,183.0 11,655.0
....
....
4,183.0 11,655.0

700.0
....
700.0

414.0
....
414.0

3,138.2
....
3,138.2

1,253.0
....
1,253.0

82.1
....
82.1

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

Current + capital financial account balance............... 4Y999F N AA

46,334.0
19,817.0

54,740.0
20,520.0

60,591.0
26,376.0

78,590.0
38,013.0

45,186.0
37,388.0

57,090.0
38,792.0

72,779.5
44,767.1

7,798.0

18,298.0

28,012.4

3,737.6
12,594.1

26,517.0

34,220.0

34,215.0

40,577.0

2,507.0
4,823.0

2,564.0
4,837.0

2,833.0
6,804.0

3,490.0
11,139.0

2,983.0
11,693.0

3,566.0
12,000.0

9,864.0

19,155.9

4,746.0
6,065.0

4,597.0
4,965.0

4,443.3
6,557.1

24,201.0

31,947.0

30,244.0

32,928.0

1,427.0
6,515.0

2,417.0
7,052.0

3,806.0
5,638.0

5,132.0
6,394.0

21,080.0

28,819.0

4,802.0 10,124.0

16,278.0

18,695.0

30,424.0

34,230.0

912.0

159.0

11,836.0

19,392.0

763.0 5,722.0 6,031.2 4,416.0 2,727.1

29,661.0

39,952.0

6,190.2

16,252.0

22,119.1

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

. . . . 16,088.8 16,734.1 29,159.3 36,601.4

3,516.6 14,984.9 19,936.0

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

16,303.7
600.1
815.0

17,736.1
....
1,002.0

29,548.3
....
389.0

36,997.4
....
396.0

3,859.6
....
343.0

15,323.9
....
339.0

20,193.9
....
257.9

Conversion rates: Algerian dinars per U.S.


dollar............................................................. RFZ F B

....

73.3

72.6

69.3

64.6

72.6

74.4

72.9

189.2 1,960.9

501.7 3,350.6 2,673.6 1,267.1 2,183.1

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
8
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Algeria

612
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 21,180.0 28,923.0 30,631.0 34,440.0
401.0 12,146.0 19,687.7
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 24,201.0 31,947.0 30,244.0 32,928.0
912.0 9,864.0 19,155.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

48,841.0
24,640.0
26,517.0
46,334.0
46,334.0
....
....
19,817.0
19,817.0
....
2,316.0
2,507.0
4,823.0
....
....
....
40.0
851.0

57,304.0
25,357.0
34,220.0
54,740.0
54,740.0
....
....
20,520.0
20,520.0
....
2,273.0
2,564.0
4,837.0
....
....
1.0
41.0
832.0

63,424.0
33,180.0
34,215.0
60,591.0
60,591.0
....
....
26,376.0
26,376.0
....
3,971.0
2,833.0
6,804.0
....
9.0
....
28.0
976.0

1,801.0

1,636.0

2,150.0

3,132.0

2,952.0

3,056.0

3,440.8

184.0
1.0
183.0
370.0
50.0
320.0
1,472.0
167.0
479.0
48.0
....
96.0
637.0
4.0
41.0
2,612.0
548.0
127.0
40.0
2.0
162.0
1,448.0
4.0
281.0

220.0
....
220.0
349.0
58.0
291.0
1,511.0
265.0
60.0
50.0
2.0
99.0
979.0
4.0
52.0
2,811.0
603.0
125.0
37.0
15.0
107.0
1,612.0
8.0
304.0

219.0
1.0
218.0
376.0
42.0
334.0
1,638.0
298.0
72.0
88.0
1.0
143.0
976.0
8.0
52.0
4,241.0
1,477.0
169.0
79.0
11.0
127.0
1,932.0
13.0
433.0

324.0
1.0
323.0
469.0
49.0
420.0
2,170.0
312.0
137.0
143.0
3.0
123.0
1,376.0
6.0
70.0
7,481.0
2,658.0
188.0
213.0
10.0
188.0
3,593.0
22.0
609.0

266.0
3.0
263.0
455.0
37.0
418.0
1,943.0
185.0
67.0
184.0
2.0
100.0
1,210.0
4.0
191.0
8,272.0
3,023.0
182.0
68.0
17.0
179.0
4,308.0
18.0
477.0

219.0
1.0
218.0
577.0
68.0
509.0
2,589.0
180.0
76.0
221.0
3.0
154.0
1,901.0
7.0
47.0
8,273.0
2,556.0
213.0
73.0
86.0
122.0
4,849.0
17.0
357.0

209.2
1.6
207.6
501.9
48.2
453.6
2,826.2
132.6
63.9
235.7
1.9
175.8
2,129.9
5.8
80.7
8,586.1
1,987.7
194.8
37.2
90.5
136.0
5,564.1
23.9
551.9

293.0
348.0
210.0

290.0
1,222.0
289.0

173.0
304.0
355.0

65.0
1,236.0
335.0

113.0
307.0
556.0

128.0
1,571.0
451.0

82,080.0 48,169.0 60,656.0 76,517.1


49,152.0 49,081.0 50,792.0 57,361.3
40,577.0 7,798.0 18,298.0 28,012.4
78,590.0 45,186.0 57,090.0 72,779.5
78,590.0 45,186.0 57,090.0 72,779.5
....
....
....
....
....
....
....
....
38,013.0 37,388.0 38,792.0 44,767.1
38,013.0 37,388.0 38,792.0 44,767.1
....
....
....
....
7,649.0 8,710.0 8,434.0 8,856.5
3,490.0
2,983.0
3,566.0
3,737.6
11,139.0 11,693.0 12,000.0 12,594.1
....
....
....
....
....
3.0
37.0
47.8
....
....
....
....
57.0
11.0
57.0
17.5
996.0
774.0
758.0
702.1

150.0
276.0
570.0

148.0
2,268.0
716.0

115.0
143.0
516.0

119.0
2,235.0
598.0

. . . . 5,088.0 4,635.0 1,832.0 1,262.0 1,319.0


....
1,427.0
2,417.0
3,806.0
5,132.0
4,746.0
....
6,515.0
7,052.0
5,638.0
6,394.0
6,065.0
....
1.0
....
62.0
59.0
77.0
....
2.0
....
....
....
....
....
1,426.0 2,417.0 3,744.0 5,073.0 4,669.0
....
9.0
26.0
40.0
617.0
111.0
....
9.0
26.0
40.0
617.0
111.0
....
9.0
26.0
40.0
617.0
111.0
....
....
....
....
....
....
....
....
....
....
....
....

104.0
199.0
455.0

160.0
2,223.0
673.0

93.3
161.4
447.4

68.7
2,670.0
702.1

368.0 2,113.8
4,597.0
4,443.3
4,965.0
6,557.1
130.0
150.9
....
....
4,467.0 4,292.4
428.0
409.0
428.0
409.0
428.0
409.0
....
....
....
....

_______________________________________________________________________________________________________________________________
9
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Algeria

612
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
1,417.0
....
1,417.0
....
....
....
....
6,513.0
5,485.0
5,485.0
5,485.0
....
....
....
....
....
....
....
1,028.0
....
1,028.0
....
....
....

....
....
....
....
....
2,391.0
....
2,391.0
....
....
....
....
7,052.0
6,295.0
6,295.0
6,295.0
....
....
....
....
....
....
....
757.0
....
757.0
....
....
....

....
....
....
....
....
3,704.0
....
3,704.0
....
....
....
....
5,638.0
5,405.0
5,405.0
5,405.0
....
....
....
....
....
....
....
233.0
....
233.0
....
....
....

....
....
....
....
....
4,456.0
....
4,456.0
....
....
....
....
6,394.0
6,206.0
6,206.0
6,206.0
....
....
....
....
....
....
....
188.0
....
188.0
....
....
....

....
....
....
....
....
4,558.0
....
4,558.0
....
....
....
....
6,065.0
5,892.0
5,892.0
5,892.0
....
....
....
....
....
....
....
173.0
....
173.0
....
....
....

....
....
....
....
....
4,039.0
....
4,039.0
....
....
....
....
4,965.0
4,855.0
4,855.0
4,855.0
....
....
....
....
....
....
....
110.0
....
110.0
....
....
....

....
....
....
....
....
3,883.4
....
3,883.4
....
....
....
....
6,557.1
6,313.4
6,313.4
6,313.4
....
....
....
....
....
....
....
243.7
....
243.7
....
....
....

....
....
....
....
....
....
....
....
....
....
....

2,067.0
2,347.0
97.0
2,250.0
169.0
2,081.0
280.0
135.0
145.0
25.0
120.0

1,611.0
2,058.0
99.0
1,959.0
189.0
1,770.0
447.0
181.0
266.0
35.0
231.0

2,219.0
2,626.0
206.0
2,420.0
36.0
2,384.0
407.0
94.0
313.0
48.0
265.0

2,774.0
2,998.0
209.0
2,789.0
45.0
2,744.0
224.0
102.0
122.0
27.0
95.0

2,632.0
2,932.0
242.0
2,690.0
73.0
2,617.0
300.0
36.0
264.0
46.0
218.0

2,650.0
2,975.0
314.0
2,661.0
66.0
2,595.0
325.0
53.0
272.0
28.0
244.0

2,645.6
3,310.5
294.4
3,016.2
52.0
2,964.2
664.9
59.2
605.8
71.4
534.4

....
....
....
....
....
....
....
....
....
....
....
....
....

3.0
....
....
....
....
....
....
....
3.0
....
....
....
3.0

5.0
....
....
....
....
....
....
....
5.0
....
....
....
5.0

1.0
....
....
1.0
....
....
....
1.0
2.0
....
....
....
2.0

1.0
....
....
....
....
....
....
....
1.0
....
....
....
1.0

....
....
....
....
....
....
....
....
....
....
....
....
....

4.0
....
....
10.0
10.0
....
10.0
....
6.0
....
....
....
6.0

1.3
....
....
.1
.1
....
.1
....
1.4
....
....
....
1.4

FINANCIAL ACCOUNT........................................ 30999S N AA

. . . . 20,987.8 26,957.1 30,128.3 31,088.4 2,272.6 10,882.9 17,503.2

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

. . . . 1,101.0 1,762.0 1,367.0 2,276.0 2,546.0 2,044.0 2,027.5


....
55.0
79.0
467.0
399.0
507.0
287.0
693.1
....
55.0
74.0
388.0
120.0
231.0
194.0
630.7
....
55.0
74.0
388.0
120.0
231.0
194.0
630.7
....
43.0
74.0
305.0
64.0
124.0
190.0
628.6
....
12.0
....
83.0
56.0
107.0
4.0
2.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
5.0
79.0
279.0
276.0
93.0
62.3
....
....
....
5.0
255.0
91.0
30.0
5.2
....
....
5.0
74.0
24.0
185.0
63.0
57.2
....
....
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
10
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Algeria

612
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,156.0
1,156.0
1,156.0
1,093.0
63.0
....
....
....
....
....
....

1,841.0
1,735.0
1,735.0
1,735.0
....
....
....
106.0
66.0
40.0
....

1,834.0
1,694.0
1,694.0
1,693.0
1.0
....
....
140.0
126.0
14.0
....

2,675.0
2,527.0
2,527.0
2,526.0
1.0
....
....
148.0
148.0
....
....

3,053.0
2,954.0
2,954.0
2,954.0
....
....
....
99.0
99.0
....
....

2,331.0
2,282.0
2,282.0
2,282.0
....
....
....
49.0
49.0
....
....

2,720.5
2,690.9
2,690.9
2,620.7
70.2
....
....
29.6
....
29.6
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5.0
5.0
5.0
....
....
....
5.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

. . . . 1,435.0
. . . . 1,435.0
....
1.0
....
....
....
....
....
....
....
1.0
....
....
. . . . 1,434.0
....
....
....
....
....
....
. . . . 1,434.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8.3
8.3
....
....
....
....
....
....
8.3
....
....
....
8.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
5,785.1 10,983.0
....
1,720.0
231.0
....
....
....
....
1,720.0
231.0
....
30.0
123.0
....
130.0
407.0
....
....
....
....
1,880.0
53.0
....
....
....
. . . . 4,065.1 10,752.0
....
....
....
....
....
....
. . . . 4,065.1 10,752.0
. . . . 3,293.1 11,266.0
....
230.0
211.0
....
....
....
. . . . 1,002.0
303.0
....
....
....

1,942.0 3,633.0 3,586.2


1,425.0 3,032.0
347.0
....
....
....
1,425.0 3,032.0
347.0
200.0
1.0
53.0
49.0
50.0
17.0
....
....
....
1,274.0 2,981.0
277.0
....
....
....
517.0
601.0 3,239.2
....
....
....
....
....
1,671.2
517.0
601.0 1,568.0
307.0
720.0
53.0
110.0
1.0
112.0
....
....
....
100.0
1,322.0
1,733.0
....
....
....

962.0
316.0
....
316.0
70.0
48.0
....
294.0
....
1,278.0
....
....
1,278.0
76.0
24.0
....
1,378.0
....

654.9
609.4
....
609.4
45.9
21.1
134.3
450.3
....
45.6
....
....
45.6
1.3
....
261.6
308.4
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA


Monetary gold.............................................................. 3EA000 A AA
Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

. . . . 16,303.7 17,736.1 29,548.3 36,997.4


....
....
....
....
....
....
3.7
1.1
1.7
7.4
....
....
....
....
....
. . . . 16,300.0 17,735.0 29,550.0 36,990.0

NET ERRORS AND OMISSIONS.........................

....

40999S N AA

189.2 1,960.9

3,859.6 15,323.9 20,193.9


....
....
....
1,670.6
3.5
1.1
....
253.4
209.9
2,189.0 15,074.0 19,982.9

501.7 3,350.6 2,673.6 1,267.1 2,183.1

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
11
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Angola

614
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
5,137.9 10,689.8 10,581.3 7,194.2 7,571.6 7,506.0 13,084.7
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

5,111.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

B. Capital Account........................................... 20999F B AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

24,109.4
8,353.2

31,862.2
8,777.6

44,396.2
13,661.5

63,913.9
20,982.2

40,827.9
22,659.9

50,594.9
16,666.9

67,310.3
20,228.5

15,756.2

23,084.6

30,734.7

42,931.8

18,168.0

33,928.0

47,081.8

176.8
6,791.0

1,484.2
7,511.2

310.7
12,643.2

329.5
22,139.3

623.2
19,169.4

378.1

856.9
18,754.4

16,030.5

732.3
23,669.8

24,144.2

131.3
6,954.5

134.0
8,220.9

209.8
9,907.1

9,142.0

17,057.7

18,402.2

21,121.9

25.8
4,056.6

145.0
6,322.9

10,879.8

622.6
8,221.6

10,803.2

422.3
14,139.8

7,404.3

7,201.3

7,943.6

14,446.9

172.5
145.8

59.5
249.5

45.7
267.6

154.5
364.5

56.8
427.1

58.4
496.1

115.6
1,477.8

....

....

....

6.9

6.5

4.1

.9

2.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

5,137.9

....
....

10,689.8

6.9
....

6.5
....

4.1
....

.9
....

2.3
....

C. Financial Account......................................... 30999F N AA

....

3,126.0

3,982.9

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

219.4
17.9
201.5

190.6
....
190.6

911.8
80.5
831.3

2,569.6
593.8
1,975.8

6.8
.1
6.7

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,303.8
1,139.7
2,443.6

37.7
2,915.8
2,953.5

893.3
3,242.7
4,136.1

1,679.0
5,266.0
3,587.0

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,267.0
1,264.0
3.0

1,439.5
1,491.0
51.5

2,015.4
1,965.9
49.5

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

574.2

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,437.7

6,973.4

3,105.0

7,183.5 4,989.3

4,779.2

8,026.7

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,817.3
....
379.6

5,401.7
....
1,571.7

3,019.1
....
85.9

6,672.6
....
510.9

5,003.8
....
14.5

5,148.6
877.6
508.2

8,304.4
311.7
33.9

Conversion rates: kwanzas per U.S. dollar.......

....

87.159

80.368

76.706

75.033

79.328

91.906

93.741

RFZ F B

7,567.5

7,506.9

13,086.9

5,842.2 1,218.7 2,552.2

1,240.9

3,876.6

1,340.4
85.0
1,255.4

2,092.6
516.2
1,576.4

2,205.3
2,743.2
537.9

3,227.2
3,325.6
6,552.8

3,023.8
4,070.2
7,094.0

1,757.5
1,757.5
....

558.1
558.1
....

273.5
273.5
....

52.2
52.2
....

....
....
....

....
....
....

68.0
....
68.0

3.0
....
3.0

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

1,850.1
....
1,850.1

1,633.1
....
1,633.1

4,854.9
....
4,854.9

2,709.2
....
2,709.2

1,369.0
....
1,369.0

158.6
....
158.6

2,543.4
....
2,543.4

1,514.3
....
1,514.3

682.1
....
682.1

2,833.3
....
2,833.3

6,576.1
....
6,576.1

2,212.8
....
2,212.8

3,755.9
....
3,755.9

3,835.4
....
3,835.4

2,011.9

6,706.9

10,588.1

4,746.0

7,200.8

8,419.4

266.5 1,641.0 1,235.9

5,015.3

6,266.0

9,210.4

26.0 1,486.8 1,183.7

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
12
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Angola

614
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
5,137.9 10,689.8 10,581.3 7,194.2 7,571.6 7,506.0 13,084.7
GOODS AND SERVICES..................................... 1Z9999 B XN
....
9,142.0 17,057.7 18,402.2 21,121.9
378.1 16,030.5 24,144.2
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 24,286.2 33,346.5 44,706.9 64,243.4 41,451.1


. . . . 15,144.2 16,288.8 26,304.7 43,121.5 41,829.3
. . . . 15,756.2 23,084.6 30,734.7 42,931.8 18,168.0
. . . . 24,109.4 31,862.2 44,396.2 63,913.9 40,827.9
. . . . 24,109.4 31,862.2 44,396.2 63,913.9 40,827.9
....
....
....
....
....
....
....
....
....
....
....
....
....
8,353.2 8,777.6 13,661.5 20,982.2 22,659.9
....
8,353.2
8,777.6 13,661.5 20,982.2 22,659.9
....
....
....
....
....
....
. . . . 6,614.2 6,027.0 12,332.5 21,809.9 18,546.2
....
176.8
1,484.2
310.7
329.5
623.2
....
6,791.0
7,511.2 12,643.2 22,139.3 19,169.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
18.1
20.2
16.7
14.5
32.0
....
15.4
15.7
11.1
8.4
20.1
....
.7
.6
.4
....
.5
....
2.0
3.9
5.3
6.1
11.4
....
1,320.2 1,626.7 2,505.0 3,720.9 4,155.5
61.0
245.2
261.5
192.6
136.8
....
....
1,217.7
1,331.9
2,187.2
3,486.7
3,964.0
....
41.6
49.7
56.3
41.6
54.7
....
88.2
74.9
224.9
284.9
534.1
....
88.2
74.9
160.8
207.2
322.1
....
....
....
64.1
77.8
212.0
....
74.0
147.7
211.9
254.1
132.5
....
24.1
29.3
102.4
119.7
76.3
....
49.9
118.4
109.5
134.4
56.2
....
70.5 1,389.1
69.0
30.1
57.1
....
....
....
....
.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
49.4
1,339.6
12.0
12.0
....
....
14.0
10.7
....
....
34.0
....
2.5
32.4
47.9
4.6
8.5
....
4.6
6.4
9.1
13.1
14.6
....
....
....
....
....
....
....
5,396.7 5,736.7 9,926.3 18,164.4 14,881.3
....
1,323.2
1,475.7
2,633.7
5,007.2
4,676.4
....
103.4
296.9
414.2
1,498.1
329.2
....
16.2
123.5
154.0
537.1
444.8
....
3.4
1.4
1.2
.5
....
....
41.1
30.9
71.5
115.2
645.6
....
3,264.6
3,092.5
5,906.7
9,197.3
7,679.8
....
44.9
64.7
99.1
121.2
146.4
....
599.8
651.2
645.8
1,687.8
959.0

51,451.7
35,421.2
33,928.0
50,594.9
50,594.9
....
....
16,666.9
16,666.9
....
17,897.5
856.9
18,754.4
....
....
....
....
42.7

68,042.5
43,898.3
47,081.8
67,310.3
67,310.3
....
....
20,228.5
20,228.5
....
22,937.6
732.3
23,669.8
....
....
....
....
26.4

3,088.5

3,629.4

7.1
.5
35.1

127.5
2,913.8
47.2

7.1
.4
18.9

143.5
3,440.4
45.5

719.1
646.5
500.8
544.3
218.3
102.2
148.1
180.4
83.8
101.9
64.3
78.5
95.1
59.4
29.7
....
....
....
....
....
....
....
35.1
40.6
15.3
3.6
15.0
15.2
....
....
15,517.7 19,860.1
4,643.1
7,932.3
257.3
193.1
830.1
301.4
6.4
3.2
427.7
397.9
6,470.2
9,593.1
156.2
184.2
2,726.7
1,254.8

. . . . 4,030.9 6,177.9 7,599.0 13,717.5 6,823.1 8,086.9 9,697.3


....
25.8
145.0
622.6
422.3
131.3
134.0
209.8
....
4,056.6
6,322.9
8,221.6 14,139.8
6,954.5
8,220.9
9,907.1
....
....
....
....
11.0
....
....
....
....
97.7
240.8
374.4
447.0
320.9
303.9
333.5
....
25.8
145.0
622.6
411.3
131.3
134.0
209.8
....
17.9
....
....
....
....
....
....
....
17.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
17.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
13
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Angola

614
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
7.9
....
7.9
....
....
....
....
3,958.9
3,405.9
3,404.0
2,264.2
1,139.7
1.9
....
....
....
....
....
553.1
....
553.1
....
....
....

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA


DIRECT INVESTMENT........................................ 3A9999 N AA
Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

2008

2009

2010

2011

....
....
....
....
....
145.0
....
145.0
....
....
....
....
6,082.2
5,278.4
5,277.0
2,361.3
2,915.7
1.4
....
....
....
....
....
803.7
....
803.7
....
....
....

....
....
....
....
....
....
....
....
....
....
622.6
411.3
....
....
622.6
411.3
....
....
....
....
....
....
....
....
7,847.2 13,692.8
7,268.2 13,184.6
7,268.2 13,184.6
4,025.4
7,918.6
3,242.7
5,266.0
....
....
....
....
....
....
....
....
....
....
....
....
579.0
508.3
....
....
579.0
508.3
....
....
....
....
....
....

....
....
....
....
....
131.3
....
131.3
....
....
....
....
6,633.6
6,130.1
6,130.1
3,386.9
2,743.2
....
....
....
....
....
....
503.5
....
503.5
....
....
....

....
....
....
....
....
134.0
....
134.0
....
....
....
....
7,917.0
7,525.7
7,524.8
4,199.2
3,325.6
1.0
....
....
....
....
....
391.2
....
391.2
....
....
....

....
....
....
....
....
209.8
....
209.8
....
....
....
....
9,573.6
9,039.9
9,039.9
4,969.7
4,070.2
....
....
....
....
....
....
533.7
....
533.7
....
....
....

26.8
172.5
172.5
....
....
....
145.8
28.4
117.3
117.2
.1

190.0
59.5
59.5
....
....
....
249.5
35.8
213.7
171.9
41.8

221.9
45.7
45.7
....
....
....
267.6
37.7
229.9
228.3
1.6

210.1
154.5
83.4
71.1
71.0
....
364.5
142.1
222.5
222.4
....

370.3
56.8
56.7
.2
.2
....
427.1
30.1
397.1
395.1
2.0

437.7 1,362.2
58.4
115.6
40.5
36.2
18.0
79.4
18.0
.2
....
79.2
496.1 1,477.8
83.4
100.5
412.7
1,377.3
410.5
230.7
2.2
1,146.6

7.8
....
....
7.8
7.8
7.8
....
....
....
....
....
....
....

1.4
....
....
1.4
1.4
1.4
....
....
....
....
....
....
....

7.2
....
....
7.2
7.2
.3
6.9
....
....
....
....
....
....

12.9
....
....
12.9
12.9
6.4
6.5
....
....
....
....
....
....

11.3
....
....
11.3
11.3
7.1
4.1
....
....
....
....
....
....

....

4,571.5 10,957.8

8,947.4

5,971.2 7,534.3

6,020.1 11,906.4

....
....
....
....
....
....
....
....
....
....
....
....

1,523.2
219.4
17.9
....
....
....
....
17.9
201.5
201.5
....
....

1,805.1
911.8
80.5
80.5
80.5
....
....
....
831.3
831.3
....
....

890.7 2,198.5
2,569.6
6.8
593.8
.1
593.8
.1
593.8
.1
....
....
....
....
....
....
1,975.8
6.7
1,975.8
6.7
....
....
....
....

4,567.6
1,340.4
85.0
85.0
85.0
....
....
....
1,255.4
1,255.4
....
....

228.3
190.6
....
....
....
....
....
....
190.6
190.6
....
....

2007

.9
....
....
.9
.9
....
.9
....
....
....
....
....
....

5.4
....
....
5.4
5.4
3.1
2.3
....
....
....
....
....
....
5,116.4
2,092.6
516.2
516.2
516.2
....
....
....
1,576.4
1,576.4
....
....

_______________________________________________________________________________________________________________________________
14
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Angola

614
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA

....

2005

2006

2007

2008

. . . . 1,303.8
37.7
893.3 1,679.0
....
1,139.7 2,915.8 3,242.7 5,266.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,139.7
2,915.7
3,242.7
5,266.0
. . . . 2,443.6 2,953.5 4,136.1 3,587.0
. . . . 2,443.6 2,953.5 4,136.1 3,587.0
....
....
....
....
....
....
....
....
....
....

2009

2010

2011

2,205.3 3,227.2 3,023.8


2,743.2 3,325.6 4,070.2
....
....
....
....
....
....
....
....
....
....
....
....
2,743.2
3,325.6
4,070.2
537.9 6,552.8 7,094.0
537.9 6,552.8 7,094.0
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,267.0
1,267.0
1,264.0
....
....
....
1,264.0
....
3.0
....
3.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,439.5
1,439.5
1,491.0
....
....
....
1,491.0
....
51.5
....
51.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,015.4
2,015.4
1,965.9
....
....
....
1,965.9
....
49.5
....
49.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,757.5
1,757.5
1,757.5
....
....
....
1,757.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

490.1
558.1
558.1
....
....
....
558.1
....
....
....
....
....
....
....
68.0
....
....
....
....
....
....
68.0
....
....
68.0
....
....

270.5
273.5
273.5
....
....
....
273.5
....
....
....
....
....
....
....
3.0
....
....
....
....
....
....
3.0
....
....
3.0
....
....

52.2
52.2
52.2
....
....
....
52.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

36.0 3,888.3
1,850.1 1,633.1
....
....
1,850.1 1,633.1
....
....
371.0
1,444.3
....
....
1,479.1
188.7
....
....
1,886.1 2,255.2
....
....
....
....
1,886.1 2,255.2
.1
10.0
29.7
133.9
790.1 2,142.1
2,646.5
257.1
....
....

2,107.8 3,349.6
4,854.9 2,709.2
....
....
4,854.9 2,709.2
....
....
42.2
2,634.0
....
....
4,897.1
75.2
....
....
2,747.1 6,058.8
....
....
....
....
2,747.1 6,058.8
.1
364.2
616.7
2,984.3
1,399.6
992.2
730.7
1,718.0
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,817.3
....
....
....
1,817.3

3,019.1
....
....
....
3,019.0

NET ERRORS AND OMISSIONS.........................

....

574.2

Central bank.............................................................. 3BA000 A CA


Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

5,401.7
....
....
....
5,401.7

822.1 3,966.6 1,566.7


1,369.0
158.6 2,543.4
....
....
....
1,369.0
158.6 2,543.4
....
....
....
1,463.8
395.9
1,763.6
....
....
....
2,832.8
237.2
779.8
....
....
....
2,191.1 4,125.3 4,110.1
....
....
....
427.0
....
....
1,764.1 4,125.3 4,110.1
239.0
2,167.0
713.0
891.1
551.9
87.5
1,173.0
83.2
812.4
539.0
1,323.2
2,497.2
....
....
....

6,672.6 5,003.8
....
....
....
424.4
....
....
6,672.6 5,428.2

266.5 1,641.0 1,235.9

5,148.6
....
8.0
....
5,156.6

8,304.4
....
16.2
....
8,320.7

26.0 1,486.8 1,183.7

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
15
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Angola

614
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 11,194.3 19,438.3 30,226.2 43,824.3 41,131.9 48,064.2 61,056.1
Direct investment............................................. 8A9999 A AA
....
24.4
215.0 1,126.8 3,696.4 3,703.2 5,043.6 7,136.2
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
24.4
24.4
....
....
1,316.8
1,316.8
....
....
....
1,316.8
....
....
....
....
....
....
....
....
6,656.2
....
6,656.2
....
1,655.1
....
5,001.2
....
3,196.9
....
.2
....
3,196.6

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
215.0 1,126.8 3,696.4 3,703.2 5,043.6 7,136.2
215.0
1,126.8
3,696.4
3,703.2
5,043.6
7,136.2
....
....
....
....
....
....
....
....
....
....
....
....
2,756.3 4,771.7 6,529.2 7,087.4 7,360.9 7,413.1
2,756.3 4,771.7 6,529.2 7,087.4 7,360.9 7,413.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2,756.3
4,771.7
6,529.2
7,087.4
7,360.9
7,413.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
8,289.3 13,130.9 16,092.9 17,462.0 17,639.4 20,182.8
....
....
....
....
....
....
8,289.3 13,130.9 16,092.9 17,462.0 17,639.4 20,182.8
....
....
....
....
....
....
3,099.4
3,043.9
5,930.7
4,467.0
4,881.6
6,645.2
....
....
....
....
....
....
5,189.9 10,087.0 10,162.2 12,995.0 12,757.8 13,537.6
....
....
....
....
....
....
8,177.7 11,196.8 17,505.7 12,879.4 18,020.4 26,324.1
....
....
....
....
....
....
.2
.3
.3
425.7
410.1
393.1
....
....
....
....
....
....
8,177.5 11,196.5 17,505.5 12,453.7 17,610.3 25,931.0

. . . . 22,487.4 20,202.6 21,951.0 30,583.7 35,422.8 37,394.1 38,204.3


. . . . 12,132.9 12,095.1 11,201.8 12,880.8 15,086.1 11,858.9 8,835.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
. . . . 12,132.9 12,095.1 11,201.8 12,880.8 15,086.1 11,858.9 8,835.1
. . . . 12,132.9 12,095.1 11,201.8 12,880.8 15,086.1 11,858.9
8,835.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
68.0
71.0
71.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
68.0
71.0
71.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
68.0
71.0
71.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
16
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Angola

614
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: kwanzas per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
. . . . 10,354.6
....
....
....
....
. . . . 10,354.6
....
7.2
....
137.3
....
6,104.5
....
4,105.5
....
....

....
....
....
....
....
....
8,107.4 10,749.2 17,703.0 20,268.8 25,464.2 29,298.2
....
....
....
....
....
....
....
....
....
428.0
420.4
419.1
8,107.4 10,749.2 17,703.0 19,840.8 25,043.8 28,879.0
11.9
12.0
440.8
279.3
2,029.9
2,317.1
307.5
932.8
4,137.0
5,048.1
5,619.0
5,731.9
3,992.0
5,305.0
6,750.1
8,817.7
9,577.4 10,627.4
3,796.0
4,499.4
6,374.9
5,695.7
7,817.5 10,202.6
....
....
....
....
....
....

. . . . 11,293.1

764.3

8,275.2 13,240.6

5,709.0 10,670.2 22,851.9

....

80.264

75.023

89.398

80.780

75.169

92.643

95.272

_______________________________________________________________________________________________________________________________
17
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Anguilla

312
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
52.05 144.58 184.00 211.26
83.64
65.74

54.33

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

12.14
140.07

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

53.02

144.74

176.38

205.27

78.73

70.40

65.66

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

10.74
9.77

14.34
14.19

10.79
18.41

9.07
15.05

7.88
12.80

15.78
11.12

22.93
11.60

B. Capital Account........................................... 20999F B AA

....

12.81

17.88

13.76

16.37

11.50

16.16

12.00

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

14.19
1.38

39.24

19.28
1.40

126.70

15.19
1.43

170.24

17.83
1.46

194.89

12.99
1.49

72.15

17.68
1.53

49.58

13.62
1.61

42.33

C. Financial Account......................................... 30999F N AA

....

47.24

132.71

173.37

186.46

69.22

52.49

34.91

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

117.31
91.54
25.77

142.00
75.81
66.19

118.88
81.21
37.67

98.71
48.10
50.61

37.46
20.93
16.53

24.91
17.38
7.53

10.91
3.55
7.37

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

.18
....
....

.11
....
....

....
....
....

5.56
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

.59
....
....

3.69
....
....

.18
....
....

5.43
....
....

2.11
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

72.77
....
72.77

15.64
....
15.64

24.59
....
24.59

25.29
....
25.29

16.97
....
16.97

66.85
....
66.85

9.91
....
9.91

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

2.12
....
2.12

8.00

2.83
....
2.83

6.00

79.37
....
79.37

107.61
....
107.61

52.17
....
52.17

94.44
....
94.44

33.91
....
33.91

D. Net Errors and Omissions............................. 40999S N AA

....

2.55

3.89

.07

4.55

.61

.47

5.05

E. Reserves and Related Items.......................... 4Z999S N AA

....

5.45

2.12

3.05

3.87

3.54

2.43

2.37

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

5.45
....
....

2.12
....
....

3.05
....
....

3.87
....
....

3.54
....
....

2.43
....
....

2.37
....
....

Conversion rates: Eastern Caribbean dollars


per U.S. dollar............................................... RFZ F B

....

2.7000

2.7000

2.7000

2.7000

2.7000

2.7000

2.7000

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

15.02
114.30

2006

12.27
197.12

2007

9.21
218.20

2008

11.49
239.19

2009

23.21
148.72

12.60
139.07

99.29

184.85

208.99

227.69

125.51

126.46

127.93

98.56
56.27

123.85
91.55

133.87
102.93

117.46
86.73

108.31
61.95

111.45
57.24

118.82
56.48

57.00

152.54

178.06

196.96

79.15

72.26

65.59

11.68
7.71

14.98
7.18

12.63
10.95

6.82
15.13

6.32
5.89

6.04
4.18

6.01
6.08

3.12

8.42

2.93

2.91

7.42

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
18
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Anguilla

312
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
52.05 144.58 184.00 211.26
83.64
65.74
GOODS AND SERVICES..................................... 1Z9999 B XN
....
57.00 152.54 178.06 196.96
79.15
72.26
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

113.58
170.57
99.29
15.02
15.02
....
....
114.30
114.30
....
42.29
98.56
56.27
....
....
....
....
1.91
....
....
....
16.38
....
....
....
85.90
....
....
9.79
....
....
10.74
....
.99
....
....
1.21
7.10
....
1.44
30.10
4.26
3.06
....
.39
1.92
20.16
....
.32

136.12
288.67
184.85
12.27
12.27
....
....
197.12
197.12
....
32.30
123.85
91.55
....
....
....
....
2.39
....
....
....
27.14
....
....
....
107.37
....
....
12.58
....
....
14.10
....
1.31
....
....
1.28
9.86
....
1.65
51.83
21.67
4.98
....
.40
2.02
21.94
....
.82

143.08
321.13
208.99
9.21
9.21
....
....
218.20
218.20
....
30.94
133.87
102.93
....
....
....
....
3.41
....
....
....
32.43
....
....
....
114.52
....
....
15.39
....
....
15.93
....
1.94
....
....
2.72
9.56
....
1.71
55.11
23.46
5.66
....
.50
2.64
22.77
....
.09

128.96
325.92
227.69
11.49
11.49
....
....
239.19
239.19
....
30.73
117.46
86.73
....
....
....
....
3.29
....
....
....
33.03
....
....
....
102.08
....
....
17.39
....
....
12.09
....
1.97
....
....
2.92
5.10
....
2.08
36.31
3.95
6.03
....
.99
2.70
22.64
....
.01

131.53
210.67
125.51
23.21
23.21
....
....
148.72
148.72
....
46.36
108.31
61.95
....
....
.08
....
5.42
....
....
....
22.57
....
....
....
92.77
....
....
16.11
....
....
10.04
....
1.26
....
....
1.89
4.65
....
2.25
23.27
1.98
3.83
....
.32
.99
16.04
....
.11

124.05
196.31
126.46
12.60
12.60
....
....
139.07
139.07
....
54.21
111.45
57.24
....
....
.07
....
5.36
....
....
....
19.47
....
....
....
95.77
....
....
13.13
....
....
10.24
....
1.57
....
.26
1.38
4.69
....
2.33
24.64
1.72
3.64
....
.32
3.49
14.90
....
.57

54.33
65.59
130.96
196.56
127.93
12.14
12.14
....
....
140.07
140.07
....
62.34
118.82
56.48
....
....
.07
....
5.45
....
....
....
19.63
....
....
....
102.60
....
....
13.86
....
....
10.71
....
1.65
....
.28
1.46
4.95
....
2.37
23.00
.33
3.69
....
.34
3.45
14.60
....
.59

....
....
....
....
....
....
....
....
....
....
....

3.97
11.68
7.71
2.98
....
8.70
....
....
....
....
....

7.80
14.98
7.18
3.71
....
11.28
....
....
....
....
....

1.68
12.63
10.95
3.83
3.91
8.80
....
....
....
....
....

8.31
6.82
15.13
4.10
1.97
2.72
.17
....
....
....
.17

.42
6.32
5.89
4.07
.99
2.24
....
....
....
....
....

1.86
6.04
4.18
4.11
.86
1.93
....
....
....
....
....

.07
6.01
6.08
4.18
.91
1.83
....
....
....
....
....

_______________________________________________________________________________________________________________________________
19
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Anguilla

312
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.87
.87
....
....
....
7.84
....
7.84
....
....
....
....
7.71
4.46
4.35
2.75
1.60
.11
....
....
....
....
....
3.25
....
3.25
....
....
....

2.09
2.09
....
....
....
9.18
....
9.18
....
....
....
....
7.18
4.17
4.06
.51
3.56
.11
....
....
....
....
....
3.01
....
3.01
....
....
....

.59
.59
....
....
....
8.21
....
8.21
....
....
....
....
7.04
3.89
3.72
.72
3.01
.17
....
....
....
....
....
3.15
....
3.15
....
....
....

.84
.84
....
....
....
1.71
....
1.71
....
....
....
....
13.15
10.91
9.69
1.07
8.62
1.21
....
....
....
....
....
2.25
....
2.25
....
....
....

1.01
1.01
....
....
....
1.24
....
1.24
....
....
....
....
4.90
2.45
2.45
1.35
1.10
....
....
....
....
....
....
2.45
....
2.45
....
....
....

.95
.95
....
....
....
.98
....
.98
....
....
....
....
3.32
1.06
1.06
.85
.21
....
....
....
....
....
....
2.26
....
2.26
....
....
....

.96
.96
....
....
....
.87
....
.87
....
....
....
....
5.17
1.11
1.11
.90
.21
....
.20
.20
....
....
....
3.86
....
3.86
....
....
....

....
....
....
....
....
....
....
....
....
....
....

.97
10.74
3.90
6.84
6.39
.45
9.77
.48
9.29
7.22
2.08

.15
14.34
7.08
7.26
6.59
.67
14.19
.75
13.44
10.82
2.62

7.62
10.79
3.39
7.40
6.76
.63
18.41
.86
17.55
13.78
3.77

5.98
9.07
1.98
7.09
6.83
.26
15.05
.53
14.52
11.91
2.60

4.92
7.88
1.01
6.87
6.61
.26
12.80
.42
12.38
8.83
3.56

4.66
15.78
8.25
7.53
7.27
.26
11.12
.55
10.58
6.18
4.40

11.33
22.93
15.28
7.65
7.39
.26
11.60
.44
11.16
6.52
4.64

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

12.81
....
....
14.19
1.64
....
1.64
12.55
1.38
....
....
....
1.38

17.88
....
....
19.28
5.48
....
5.48
13.81
1.40
....
....
....
1.40

13.76
....
....
15.19
....
....
....
15.19
1.43
....
....
....
1.43

16.37
....
....
17.83
3.40
....
3.40
14.43
1.46
....
....
....
1.46

11.50
....
....
12.99
....
....
....
12.99
1.49
....
....
....
1.49

16.16
....
....
17.68
4.28
....
4.28
13.40
1.53
....
....
....
1.53

12.00
....
....
13.62
....
....
....
13.62
1.61
....
....
....
1.61

FINANCIAL ACCOUNT........................................ 30999S N AA

....

41.79

130.59

170.31

190.33

72.76

50.05

37.27

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

117.31
....
....
....
....
....
....
....
....
....
....
....

142.00
....
....
....
....
....
....
....
....
....
....
....

118.88
....
....
....
....
....
....
....
....
....
....
....

98.71
....
....
....
....
....
....
....
....
....
....
....

37.46
....
....
....
....
....
....
....
....
....
....
....

24.91
....
....
....
....
....
....
....
....
....
....
....

10.91
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
20
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Anguilla

312
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

117.31
91.54
89.93
89.93
....
....
1.60
25.77
25.77
....
....

142.00
75.81
72.25
72.25
....
....
3.56
66.19
66.19
....
....

118.88
81.21
78.20
78.20
....
....
3.01
37.67
37.67
....
....

98.71
48.10
39.48
39.48
....
....
8.62
50.61
50.61
....
....

37.46
20.93
19.83
19.83
....
....
1.10
16.53
16.53
....
....

24.91
17.38
17.17
17.17
....
....
.21
7.53
7.53
....
....

10.91
3.55
3.33
3.33
....
....
.21
7.37
7.37
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.59
....
....
....
....
....
....
....
....
....
....
....
....
....
.59
....
....
....
....
....
....
....
....
....
....
....
....

3.51
.18
....
....
....
....
....
....
....
....
....
....
....
....
3.69
....
....
....
....
....
....
....
....
....
....
....
....

.29
.11
....
....
....
....
....
....
....
....
....
....
....
....
.18
....
....
....
....
....
....
....
....
....
....
....
....

5.43
....
....
....
....
....
....
....
....
....
....
....
....
....
5.43
....
....
....
....
....
....
....
....
....
....
....
....

3.44
5.56
....
....
....
....
....
....
....
....
....
....
....
....
2.11
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

70.66
72.77
....
72.77
....
62.48
....
10.30
....
2.12
....
....
2.12
....
....
.78
2.89
....

12.80
15.64
....
15.64
....
1.79
....
13.85
....
2.83
....
....
2.83
....
....
.21
2.63
....

54.78
24.59
....
24.59
....
....
....
24.59
....
79.37
....
....
79.37
....
51.96
.96
26.45
....

82.32
25.29
....
25.29
....
....
....
25.29
....
107.61
....
....
107.61
....
83.59
6.57
17.45
....

35.20
16.97
....
16.97
....
....
....
16.97
....
52.17
....
....
52.17
....
41.88
.35
10.64
....

27.58
66.85
....
66.85
....
56.42
....
10.43
....
94.44
....
....
94.44
....
....
45.85
48.59
....

23.99
9.91
....
9.91
....
....
....
9.91
....
33.91
....
....
33.91
....
.65
1.14
34.40
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

5.45
....
....
....
5.45

2.12
....
....
....
2.12

3.05
....
....
....
3.05

3.87
....
....
....
3.87

3.54
....
....
....
3.54

2.43
....
....
....
2.43

2.37
....
....
....
2.37

NET ERRORS AND OMISSIONS.........................

....

2.55

3.89

.07

4.55

.61

.47

5.05

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
21
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Antigua and Barbuda

311
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
. . . . 171.49 291.76 385.55 348.51 169.09 162.20

120.08

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

179.49

316.99

403.79

377.26

195.74

188.19

142.90

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

26.17
18.17

44.38
19.15

47.39
29.15

47.79
19.04

40.45
13.80

42.68
16.69

38.99
16.17

B. Capital Account........................................... 20999F B AA

....

214.33

31.57

11.11

14.81

3.79

20.35

12.13

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

214.33
....

42.83

31.57
....

260.19

11.11
....

374.44

14.81
....

333.70

3.79
....

165.30

20.35
....

141.85

12.13
....

107.95

C. Financial Account......................................... 30999F N AA

....

24.53

286.24

382.48

331.83

181.64

128.92

126.40

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

220.96
191.08
29.88

358.82
280.97
77.85

338.20
266.70
71.51

158.78
102.52
56.26

80.65
43.06
37.59

96.68
34.79
61.89

57.72
28.65
29.07

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

.47
....
....

....
....
....

.02
....
....

....
....
....

....
....
....

7.54
....
....

.15
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

10.06
....
....

24.78
....
....

1.21
....
....

10.80
....
....

4.65
....
....

1.84
....
....

1.16
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

143.18
....
143.18

149.76
....
149.76

82.01
....
82.01

80.09
....
80.09

70.72
....
70.72

121.14
....
121.14

2.54
....
2.54

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

112.84
....
112.84

18.30

52.40
....
52.40

26.05

127.52
....
127.52

242.34
....
242.34

176.36
....
176.36

159.08
....
159.08

69.90
....
69.90

D. Net Errors and Omissions............................. 40999S N AA

....

11.07

10.69

7.21

3.96

E. Reserves and Related Items.......................... 4Z999S N AA

....

7.24

15.36

.83

5.83

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

7.24
....
....

15.36
....
....

.83
....
....

5.83
....
....

Conversion rates: Eastern Caribbean dollars


per U.S. dollar............................................... RFZ F B

....

2.7000

2.7000

2.7000

2.7000

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

82.67
455.35

74.00
559.70

59.28
648.91

65.39
669.89

50.74
478.91

45.33
453.88

43.45
426.97

372.68

485.71

589.63

604.50

428.17

408.56

383.52

462.60
227.37

474.17
258.71

521.97
283.46

559.98
271.66

510.88
227.57

478.52
226.23

493.48
217.09

137.45

270.24

351.12

316.18

144.85

156.26

107.14

17.96
60.00

26.71
73.45

25.79
78.46

16.11
77.19

13.11
63.99

11.08
43.01

11.57
47.34

8.04

1.86

16.34

12.93

18.45

26.55

5.23

17.96

10.21

18.16

.49

10.21
....
....

11.89
30.05
....

11.28
10.79
....

2.7000

2.7000

2.7000

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
22
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Antigua and Barbuda

311
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 171.49 291.76 385.55 348.51 169.09 162.20
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 137.45 270.24 351.12 316.18 144.85 156.26
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

545.27
682.72
372.68
82.67
82.67
....
....
455.35
455.35
....
235.23
462.60
227.37
....
....
.07
....
84.63
....
....
....
78.02
....
....
....
309.45
....
....
40.05
....
....
68.45
....
15.50
....
....
8.06
36.45
....
8.43
109.29
17.82
36.48
....
.58
5.03
40.44
....
8.95

548.17
818.41
485.71
74.00
74.00
....
....
559.70
559.70
....
215.46
474.17
258.71
....
....
.03
....
80.15
....
....
....
87.85
....
....
....
326.75
....
....
45.34
....
....
67.25
....
10.98
....
....
8.06
36.24
....
11.97
125.52
25.09
44.89
....
.77
5.03
40.34
....
9.40

581.25
932.37
589.63
59.28
59.28
....
....
648.91
648.91
....
238.51
521.97
283.46
....
....
.07
....
96.02
....
....
....
102.33
....
....
....
337.85
....
....
51.80
....
....
88.04
....
13.90
....
....
18.77
43.37
....
12.00
129.33
23.02
48.99
....
.81
6.98
37.20
....
12.34

625.37
941.55
604.50
65.39
65.39
....
....
669.89
669.89
....
288.32
559.98
271.66
....
....
.07
....
135.78
....
....
....
93.49
....
....
....
333.97
....
....
58.36
....
....
90.17
....
18.81
....
....
18.90
39.81
....
12.65
119.81
9.12
56.57
....
1.89
6.65
33.61
....
11.97

561.62
706.48
428.17
50.74
50.74
....
....
478.91
478.91
....
283.31
510.88
227.57
....
....
.07
....
140.02
....
....
....
72.18
....
....
....
305.12
....
....
53.57
....
....
65.68
....
13.48
....
....
15.20
25.40
....
11.60
101.83
4.07
51.45
....
1.19
5.22
29.54
....
10.35

523.85
680.11
408.56
45.33
45.33
....
....
453.88
453.88
....
252.29
478.52
226.23
....
....
....
....
120.89
....
....
....
70.81
....
....
....
297.74
....
....
51.68
....
....
59.88
....
17.57
....
....
7.11
23.27
....
11.93
103.74
3.21
45.34
....
1.20
2.43
40.75
....
10.82

120.08
107.14
536.93
644.06
383.52
43.45
43.45
....
....
426.97
426.97
....
276.39
493.48
217.09
....
....
....
....
122.83
....
....
....
67.16
....
....
....
311.91
....
....
50.09
....
....
58.74
....
16.97
....
....
6.89
22.75
....
12.13
99.84
2.39
43.79
....
1.16
2.46
39.49
....
10.53

....
....
....
....
....
....
....
....
....
....
....

42.04
17.96
60.00
6.56
....
11.40
....
....
....
....
....

46.74
26.71
73.45
7.22
....
19.49
....
....
....
....
....

52.67
25.79
78.46
8.37
....
17.42
....
....
....
....
....

61.08
16.11
77.19
9.29
....
6.81
....
....
....
....
....

50.89
13.11
63.99
8.55
....
4.56
....
....
....
....
....

31.93
11.08
43.01
7.70
....
3.39
.04
....
....
....
.04

35.76
11.57
47.34
7.82
....
3.75
....
....
....
....
....

_______________________________________________________________________________________________________________________________
23
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Antigua and Barbuda

311
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.08
.08
....
....
....
11.32
....
11.32
....
....
....
....
60.00
30.69
28.43
15.57
12.86
2.26
....
....
....
....
....
29.31
....
29.31
....
....
....

1.50
1.50
....
....
....
17.99
....
17.99
....
....
....
....
73.45
41.55
38.28
29.69
8.59
3.27
1.14
1.14
....
....
....
30.76
....
30.76
....
....
....

2.72
2.72
....
....
....
14.70
....
14.70
....
....
....
....
78.46
43.81
39.84
27.70
12.14
3.98
.52
.52
....
....
....
34.12
....
34.12
....
....
....

1.80
1.80
....
....
....
5.01
....
5.01
....
....
....
....
77.19
40.64
37.19
25.51
11.68
3.46
.97
.97
....
....
....
35.58
....
35.58
....
....
....

1.45
1.45
....
....
....
3.10
....
3.10
....
....
....
....
63.99
35.53
30.77
25.85
4.93
4.76
1.00
1.00
....
....
....
27.46
....
27.46
....
....
....

.77
.77
....
....
....
2.58
....
2.58
....
....
....
....
43.01
33.28
28.20
23.35
4.85
5.08
.44
.44
....
....
....
9.29
....
9.29
....
....
....

1.26
1.26
....
....
....
2.50
....
2.50
....
....
....
....
47.34
32.25
27.33
22.63
4.70
4.92
.40
.40
....
....
....
14.68
....
14.68
....
....
....

....
....
....
....
....
....
....
....
....
....
....

8.00
26.17
5.01
21.15
11.74
9.41
18.17
4.22
13.95
1.67
12.28

25.22
44.38
10.52
33.86
12.11
21.75
19.15
5.27
13.88
1.84
12.04

18.24
47.39
12.37
35.02
12.41
22.61
29.15
13.56
15.59
2.13
13.46

28.75
47.79
11.62
36.17
12.53
23.64
19.04
5.02
14.03
2.37
11.66

26.65
40.45
5.96
34.49
12.11
22.38
13.80
2.36
11.44
2.12
9.32

26.00
42.68
11.81
30.87
12.47
18.40
16.69
3.04
13.65
2.07
11.58

22.82
38.99
7.63
31.37
12.67
18.69
16.17
2.95
13.23
2.00
11.22

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

214.33
....
....
214.33
210.62
....
210.62
3.70
....
....
....
....
....

31.57
....
....
31.57
27.87
....
27.87
3.70
....
....
....
....
....

11.11
....
....
11.11
7.41
....
7.41
3.70
....
....
....
....
....

14.81
....
....
14.81
11.11
....
11.11
3.70
....
....
....
....
....

3.79
....
....
3.79
.46
....
.46
3.33
....
....
....
....
....

20.35
....
....
20.35
16.57
....
16.57
3.78
....
....
....
....
....

12.13
....
....
12.13
8.47
....
8.47
3.66
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

31.77

270.88

381.65

337.66

191.85

147.08

125.91

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

220.96
....
....
....
....
....
....
....
....
....
....
....

358.82
....
....
....
....
....
....
....
....
....
....
....

338.20
....
....
....
....
....
....
....
....
....
....
....

158.78
....
....
....
....
....
....
....
....
....
....
....

80.65
....
....
....
....
....
....
....
....
....
....
....

96.68
....
....
....
....
....
....
....
....
....
....
....

57.72
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
24
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Antigua and Barbuda

311
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

220.96
191.08
178.22
178.22
....
....
12.86
29.88
29.88
....
....

358.82
280.97
272.37
272.37
....
....
8.59
77.85
77.85
....
....

338.20
266.70
254.56
254.56
....
....
12.14
71.51
71.51
....
....

158.78
102.52
90.84
90.84
....
....
11.68
56.26
56.26
....
....

80.65
43.06
38.13
38.13
....
....
4.93
37.59
37.59
....
....

96.68
34.79
29.94
29.94
....
....
4.85
61.89
61.89
....
....

57.72
28.65
23.95
23.95
....
....
4.70
29.07
29.07
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

10.53
.47
....
....
....
....
....
....
....
....
....
....
....
....
10.06
....
....
....
....
....
....
....
....
....
....
....
....

24.78
....
....
....
....
....
....
....
....
....
....
....
....
....
24.78
....
....
....
....
....
....
....
....
....
....
....
....

1.23
.02
....
....
....
....
....
....
....
....
....
....
....
....
1.21
....
....
....
....
....
....
....
....
....
....
....
....

10.80
....
....
....
....
....
....
....
....
....
....
....
....
....
10.80
....
....
....
....
....
....
....
....
....
....
....
....

4.65
....
....
....
....
....
....
....
....
....
....
....
....
....
4.65
....
....
....
....
....
....
....
....
....
....
....
....

5.70
7.54
....
....
....
....
....
....
....
....
....
....
....
....
1.84
....
....
....
....
....
....
....
....
....
....
....
....

1.31
.15
....
....
....
....
....
....
....
....
....
....
....
....
1.16
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

256.02
143.18
....
143.18
....
18.26
....
124.92
....
112.84
....
....
112.84
....
....
163.46
50.62
....

97.36
149.76
....
149.76
....
64.54
....
85.23
....
52.40
....
....
52.40
....
....
25.54
77.95
....

45.51
82.01
....
82.01
....
....
....
82.01
....
127.52
....
....
127.52
....
15.42
6.78
118.88
....

162.25
80.09
....
80.09
....
....
....
80.09
....
242.34
....
....
242.34
....
119.03
1.79
121.52
....

105.64
70.72
....
70.72
....
....
....
70.72
....
176.36
....
19.55
156.81
....
33.54
38.71
84.56
....

67.99
121.14
....
121.14
....
....
....
121.14
....
189.13
....
....
189.13
30.05
13.70
110.97
34.41
....

78.15
2.54
....
2.54
....
....
....
2.54
....
80.69
....
....
80.69
10.79
35.22
11.67
23.01
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

7.24
....
....
....
7.24

15.36
....
....
....
15.36

.83
....
....
....
.83

5.83
....
....
....
5.83

10.21
....
19.55
....
29.76

11.89
....
19.14
.04
31.00

11.28
....
.22
.03
11.03

NET ERRORS AND OMISSIONS.........................

....

11.07

10.69

7.21

3.96

26.55

5.23

17.96

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
25
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Argentina

213
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
5,273.8 7,767.0 7,354.4 6,755.9 8,337.6 2,830.4

5.6

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

2005

40,434.2
27,300.1

2006

46,593.8
32,587.9

2007

56,032.4
42,524.5

2008

70,148.6
54,596.2

2009

55,790.8
37,146.1

68,126.8
53,867.7

84,244.3
70,755.0

13,134.1

14,005.9

13,507.9

15,552.4

18,644.7

14,259.1

13,489.2

6,458.1
7,496.9

7,837.4
8,385.7

10,136.9
10,701.7

11,840.0
13,254.0

10,677.4
12,081.4

12,922.2
14,015.2

14,129.9
16,348.4

12,095.2

13,457.7

12,943.1

14,138.4

17,240.6

13,166.1

11,270.8

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

4,311.8
11,617.2

5,685.3
11,835.3

6,624.6
12,566.8

5,620.4
13,172.7

3,523.2
12,478.7

2,724.7
12,662.8

3,037.8
13,851.8

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,225.2
741.3

1,409.3
949.8

1,627.5
1,274.1

1,867.3
1,697.6

1,883.7
1,831.3

1,837.0
2,234.6

1,996.3
2,458.7

B. Capital Account........................................... 20999F B AA

....

88.9

97.1

121.1

180.9

74.0

89.0

68.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

92.7
3.8

106.5
9.4

140.8
19.7

202.2
21.2

82.1
8.1

103.3
14.2

70.9
2.6

C. Financial Account......................................... 30999F N AA

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

1,311.1
1,311.1
....

2,438.7
2,438.7
....

1,504.2
1,504.2
....

1,390.9
1,390.9
....

711.5
711.5
....

964.8
964.8
....

1,488.0
1,488.0
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

5,265.3
5,746.5
481.3

5,537.3
5,274.3
263.0

6,473.2
4,627.5
1,845.6

9,725.6
4,948.9
4,776.6

4,017.2
5,027.0
1,009.8

7,055.1
4,448.4
2,606.7

7,079.9
6,071.1
1,008.8

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,368.3
4.4
1,372.7

1.0
6.2
7.3

1.6
12.7
14.2

11.6
.6
12.2

1.5
....
1.5

1,261.4
....
1,261.4

9.4
....
9.4

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1,730.8
48.1
1,682.7

7,921.4
706.7
7,214.7

7,097.7
1,784.9
5,312.8

7,062.1
530.6
6,531.5

3,156.5
211.9
2,944.6

9,175.0
207.5
9,382.5

1,516.9
174.0
1,342.8

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

126.6
....
126.6

564.6
....
564.6

934.7
....
934.7

1,248.3
....
1,248.3

712.3
....
712.3

2,306.2
....
2,306.2

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

2,004.6
....
2,004.6

4,500.6
....
4,500.6

11,728.7
....
11,728.7

14,384.5
....
14,384.5

6,825.4
....
6,825.4

10,012.8
....
10,012.8

17,568.2
....
17,568.2

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

3,641.4
....
3,641.4

1,213.7
....
1,213.7

4,282.8
....
4,282.8

2,759.7
....
2,759.7

596.3
....
596.3

1,561.9
....
1,561.9

8,907.9
....
8,907.9

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

7,653.9 14,234.5 11,569.5 3,284.8

465.9 10,727.0 11,373.5

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

9,088.3
3,581.8
5,016.3

3,458.3
9,630.4
1,145.7

13,074.6
....
1,505.1

23.7
....
3,308.6

1,326.7
....
1,792.6

4,212.3
....
6,514.6

6,095.4
....
5,278.1

Conversion rates: Argentine pesos per U.S.


dollar............................................................. RFZ F B

....

2.90366

3.05431

3.09565

3.14416

3.71011

3.89630

4.11014

4,789.9

5,362.7

7,307.6

7,864.1

7,000.9

7,475.5

6,586.2

6,936.8

1,954.9 5,178.1 4,054.6 11,298.5

7,317.6

13,042.3

11,530.1

4,361.7

336.3

1,192.2

39.4

1,076.9

8,285.1

8,411.6

3,228.0

456.8

2,919.5

62.7

8,522.4 8,788.1

6,900.9

110.9

355.1

11,707.6

6,838.2

980.6 4,535.3

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
26
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Argentina

213
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
5,273.8 7,767.0 7,354.4 6,755.9 8,337.6 2,830.4
5.6
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 12,095.2 13,457.7 12,943.1 14,138.4 17,240.6 13,166.1 11,270.8
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

46,892.2 54,431.2 66,169.3 81,988.6 66,468.2


34,797.0 40,973.6 53,226.2 67,850.2 49,227.6
13,134.1 14,005.9 13,507.9 15,552.4 18,644.7
40,434.2 46,593.8 56,032.4 70,148.6 55,790.8
40,244.0 45,998.8 55,693.1 69,819.5 55,672.1
47.4
47.6
52.1
129.8
118.7
142.8
547.4
287.2
199.3
....
27,300.1 32,587.9 42,524.5 54,596.2 37,146.1
27,300.1 32,587.9 42,524.5 54,596.2 37,146.1
....
....
....
....
....
1,038.8
548.3
564.8 1,414.0 1,404.1
6,458.1
7,837.4 10,136.9 11,840.0 10,677.4
7,496.9
8,385.7 10,701.7 13,254.0 12,081.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,304.4 1,476.9 1,743.0 1,867.8 1,623.2

480.3
237.2
586.9

555.2
240.9
680.8

670.4
293.1
779.5

649.8
272.3
945.6

516.2
283.9
823.1

81,049.1
67,883.0
14,259.1
68,126.8
66,119.8
7.2
2,014.2
53,867.7
53,867.7
....
1,093.0
12,922.2
14,015.2
....
....
....
....
2,092.7

98,374.1
87,103.4
13,489.2
84,244.3
81,972.0
70.9
2,343.2
70,755.0
70,755.0
....
2,218.5
14,129.9
16,348.4
....
....
....
....
2,319.8

687.1
429.5
976.1

707.1
483.9
1,128.7

1,988.4

2,323.3

3,049.4

3,976.7

2,728.0

3,745.7

4,517.1

2,729.1
503.6
2,225.5
2,789.7
1,029.5
1,760.2
2,424.6
45.7
....
3.7
51.1
407.9
1,597.9
203.0
115.2
2,718.8
1.6
229.5
209.6
650.6
433.6
767.1
164.9
261.8

3,344.4
519.9
2,824.4
3,099.1
1,120.0
1,979.0
3,016.2
20.1
....
6.5
71.3
581.7
1,954.9
257.7
124.1
2,963.3
1.1
283.4
77.9
806.4
489.7
852.1
171.7
281.1

4,314.1
684.5
3,629.6
3,920.7
1,515.4
2,405.3
4,079.9
38.4
....
9.0
106.2
891.8
2,590.2
314.1
130.3
3,731.6
16.6
374.9
87.0
1,042.1
620.4
1,075.7
208.2
306.7

4,645.3
692.9
3,952.4
4,560.7
1,415.3
3,145.4
5,326.9
30.0
11.7
7.8
104.8
1,161.0
3,374.6
485.8
151.3
4,716.6
27.9
449.0
83.8
1,463.2
749.9
1,326.8
249.3
366.7

3,959.6
619.6
3,340.1
4,493.8
1,133.8
3,360.0
5,094.5
17.7
10.6
6.0
101.7
1,285.9
3,257.4
279.6
135.6
4,859.7
17.4
442.0
93.9
1,461.4
758.3
1,433.7
287.5
365.4

4,941.9
795.6
4,146.3
4,877.9
1,373.0
3,504.9
5,887.7
62.5
15.2
7.0
145.3
1,504.3
3,650.3
317.4
185.7
5,391.7
3.6
541.1
105.1
1,551.0
795.9
1,665.9
373.4
355.7

5,350.5
897.3
4,453.2
5,510.8
1,385.9
4,125.0
6,459.6
37.5
18.2
9.5
190.0
1,874.8
3,795.7
332.8
201.2
6,320.5
11.0
716.8
89.1
1,739.1
974.8
1,976.0
461.8
351.9

764.1
1,077.5
146.8

939.4
1,196.0
187.9

1,141.8
1,713.2
194.4

1,400.7
2,324.9
251.1

1,271.7
1,250.1
206.2

1,497.1
2,008.6
240.0

1,800.2
2,429.3
287.5

. . . . 7,305.4 6,150.1 5,942.2 7,552.2 8,955.5 9,938.1 10,814.0


....
4,311.8
5,685.3
6,624.6
5,620.4
3,523.2
2,724.7
3,037.8
. . . . 11,617.2 11,835.3 12,566.8 13,172.7 12,478.7 12,662.8 13,851.8
....
50.7
55.7
65.4
91.7
91.3
102.0
130.8
....
102.1
115.3
137.2
149.6
159.1
159.5
178.6
....
4,261.1 5,629.5 6,559.2 5,528.8 3,431.9 2,622.7 2,907.0
....
1,020.3
1,635.1
1,485.1
1,322.3
1,290.1
939.7
1,224.7
....
1,020.3
1,635.1
1,485.1
1,322.3
1,290.1
939.7
1,224.7
....
276.6
310.0
354.8
305.2
392.0
158.9
176.7
....
743.8
1,325.1
1,130.3
1,017.2
898.0
780.8
1,048.0
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
27
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Argentina

213
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA

....

2005

2006

2007

2008

2009

2010

2011

....
122.2
382.1
953.7
759.7
264.6
54.6
16.5
....
2.4
2.4
2.3
1.5
1.5
1.2
1.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
119.9
379.7
951.4
758.1
263.0
53.4
15.4
....
3,118.6
3,612.3
4,120.4
3,446.8
1,877.3
1,628.4
1,665.7
....
....
....
....
....
....
....
....
....
3,118.6
3,612.3
4,120.4
3,446.8
1,877.3
1,628.4
1,665.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
. . . . 11,515.1 11,720.0 12,429.5 13,023.1 12,319.6 12,503.3 13,673.2
....
5,456.4
7,112.0
7,283.0
7,901.9
8,359.9
8,529.7
8,950.8
....
4,911.1
6,554.1
6,695.0
7,353.9
7,885.1
8,089.0
8,538.0
....
3,754.9
3,446.0
4,645.1
6,957.5
4,991.1
5,816.1
6,324.5
....
1,156.2
3,108.1
2,050.0
396.4
2,894.0
2,272.9
2,213.5
....
545.4
557.9
588.0
548.0
474.8
440.7
412.8
....
3,396.2
2,423.2
2,695.7
2,793.3
2,335.5
2,417.6
2,774.5
....
6.5
22.7
33.5
63.9
34.2
9.9
17.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
3,389.7
2,400.5
2,662.2
2,729.3
2,301.3
2,407.7
2,757.2
....
2,662.5
2,184.9
2,450.9
2,328.0
1,624.2
1,556.0
1,947.8
....
....
....
....
....
....
....
....
....
2,662.5
2,184.9
2,450.9
2,328.0
1,624.2
1,556.0
1,947.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

483.9
1,225.2
357.4
867.8
381.4
486.4
741.3
83.5
657.8
212.0
445.9

459.5
1,409.3
429.7
979.5
485.6
494.0
949.8
107.2
842.6
240.3
602.3

353.4
1,627.5
555.9
1,071.7
541.1
530.6
1,274.1
118.2
1,155.9
325.3
830.6

169.7
1,867.3
734.5
1,132.8
605.9
526.9
1,697.6
113.9
1,583.7
480.6
1,103.1

52.4
1,883.7
851.3
1,032.4
529.3
503.1
1,831.3
105.1
1,726.2
608.0
1,118.2

397.5
1,837.0
922.9
914.1
534.9
379.2
2,234.6
118.5
2,116.0
873.7
1,242.3

462.4
1,996.3
1,071.7
924.7
555.1
369.5
2,458.7
157.3
2,301.4
948.9
1,352.5

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

88.9
92.7
3.8
....
....
....
....
....
....
....
....
....
....

97.1
71.5
9.4
35.0
....
....
....
35.0
....
....
....
....
....

121.1
140.8
19.7
....
....
....
....
....
....
....
....
....
....

180.9
202.2
21.2
....
....
....
....
....
....
....
....
....
....

74.0
82.1
8.1
....
....
....
....
....
....
....
....
....
....

89.0
103.3
14.2
....
....
....
....
....
....
....
....
....
....

68.3
70.9
2.6
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

5,698.9

9,056.3

7,514.9

8,013.7

8,056.5

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

. . . . 3,954.2 3,098.6 4,968.9 8,334.6 3,305.6 6,090.3 5,591.9


....
1,311.1 2,438.7 1,504.2 1,390.9
711.5
964.8 1,488.0
....
1,311.1 2,438.7 1,504.2 1,390.9
711.5
964.8 1,488.0
....
567.3
1,113.6
374.0
373.8
186.5
184.0
440.0
....
567.3
1,113.6
374.0
373.8
186.5
184.0
440.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
743.8
1,325.1
1,130.3
1,017.2
898.0
780.8
1,048.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

General government.................................................... 1D9999 C GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

1,938.9 4,472.6

_______________________________________________________________________________________________________________________________
28
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Argentina

213
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA

....

2005

2006

2007

....
....
....
....
....
....
....
....
....
....
....

5,265.3
5,746.5
4,590.3
4,590.3
....
....
1,156.2
481.3
481.3
....
....

5,537.3
5,274.3
2,166.2
2,166.2
....
....
3,108.1
263.0
263.0
....
....

6,473.2
4,627.5
2,577.6
2,577.6
....
....
2,050.0
1,845.6
1,845.6
....
....

of which: Other financial corporations........................ 3BB000 L FA

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

178.3
2,004.6
....
2,004.6
....
128.7
9.7
2,143.0
....
2,182.9
....
....
2,182.9
2,891.7
1,422.7
3,125.9
994.4
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

9,088.3
139.1
3,794.3
.1
5,155.0

NET ERRORS AND OMISSIONS.........................

....

336.3

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

2009

2010

2011

9,725.6 4,017.2
4,948.9 5,027.0
4,552.5
2,133.0
4,552.5
2,133.0
....
....
....
....
396.4
2,894.0
4,776.6 1,009.8
4,776.6 1,009.8
....
....
....
....

7,055.1
4,448.4
2,175.5
2,175.5
....
....
2,272.9
2,606.7
2,606.7
....
....

7,079.9
6,071.1
3,857.6
3,857.6
....
....
2,213.5
1,008.8
1,008.8
....
....

386.5 7,823.5 7,068.8 8,028.3 3,162.2 10,436.4 1,526.2


1,368.3
1.0
1.6
11.6
1.5 1,261.4
9.4
4.4
6.2
12.7
.6
....
....
....
....
....
....
....
....
....
....
4.4
6.2
12.7
.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,372.7
7.3
14.2
12.2
1.5 1,261.4
9.4
....
....
....
....
....
....
....
.1
.1
6.5
3.8
7.7
8.0
1.0
1,372.5
7.1
7.8
8.4
9.3 1,269.4
10.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,754.8 7,824.5 7,070.3 8,016.7 3,160.7 9,175.0 1,516.9
48.1
706.7 1,784.9
530.6
211.9
207.5
174.0
....
....
....
....
....
....
....
13.4
439.2
150.8
222.9
15.2
136.7
200.2
....
....
....
....
....
....
....
34.7
267.5
1,634.2
307.8
227.1
344.2
26.1
....
....
....
....
....
....
....
1,706.7 7,117.8 5,285.4 7,486.1 2,948.8 9,382.5 1,342.8
24.0
96.9
27.4
954.6
4.2
....
....
513.5
68.5
160.3
382.7
322.4
438.0
140.0
138.5
7,638.6
6,007.1 5,214.8 1,573.5
9,641.5 1,470.7
1,030.7
492.5
534.1
934.0 1,048.7
178.9
12.1
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Central bank.............................................................. 3BA000 A CA


Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

2008

126.6
....
126.6

564.6
....
564.6

934.7 1,248.3
....
....
934.7 1,248.3

16,393.5 5,913.4 7,361.6 5,624.9


4,500.6 11,728.7 14,384.5 6,825.4
....
....
....
....
4,500.6 11,728.7 14,384.5 6,825.4
....
....
....
....
504.7
1,272.0
132.8 1,624.9
52.1
444.7
451.3
456.3
4,048.0 10,012.0 14,066.0
7,994.0
....
....
....
....
11,892.9 5,815.3 7,022.9 1,200.5
....
....
....
....
....
....
....
2,657.3
11,892.9 5,815.3 7,022.9 1,456.8
10,403.3
1,520.5
2,777.2 1,399.6
17.8
968.4
424.6 1,407.1
2,302.2
58.9
253.2
1,721.1
830.4
3,385.2
4,923.4
371.3
....
....
....
....
3,458.3 13,074.6
206.7
353.1
4,022.3
.1
....
....
7,273.9 12,721.4
1,192.2

39.4

712.3 2,306.2
....
....
712.3 2,306.2
14,965.5
10,012.8
....
10,012.8
....
225.0
611.8
9,626.0
....
4,952.7
....
....
4,952.7
2,910.0
30.0
6,699.3
4,686.6
....

3,382.2
17,568.2
....
17,568.2
....
126.0
456.2
17,238.0
....
14,185.9
....
....
14,185.9
5,001.0
647.0
1,250.6
7,287.3
....

23.7
56.6
.1
....
33.0

1,326.7
408.2
2,657.3
....
1,738.8

4,212.3 6,095.4
564.2
629.9
.2
49.3
....
....
3,648.4 6,774.6

1,076.9

355.1

980.6 4,535.3

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
29
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Argentina

213
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 165,854.9 177,994.4 206,097.2 210,708.0 223,776.1 237,238.1 251,337.6
Direct investment............................................. 8A9999 A AA
. . . . 23,339.9 25,896.6 27,543.4 28,788.8 29,535.6 30,328.3 31,858.3
Equity and investment fund shares................. 8AA000 A AA
. . . . 23,339.9 25,896.6 27,543.4 28,788.8 29,535.6 30,328.3 31,858.3
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

23,339.9
....
....
....
....
....
....
191.6
76.5
....
76.5
....
....
....
115.1
....
1.3
113.8
....
....
....
109,810.6
....
109,810.6
....
2,570.6
7,111.0
100,129.0
....
32,512.9
908.0
4,436.6
.3
27,168.0

25,896.6
....
....
....
....
....
....
191.8
70.0
....
70.0
....
....
....
121.8
....
1.0
120.8
....
....
....
119,386.6
....
119,386.6
....
3,075.3
7,197.3
109,114.0
....
32,519.5
1,115.0
482.2
.3
30,922.0

27,543.4
....
....
....
....
....
....
194.9
58.0
....
58.0
....
....
....
136.9
....
8.0
128.9
....
....
....
132,185.8
....
132,185.8
....
4,347.3
7,916.1
119,922.4
....
46,173.1
1,467.6
506.7
.3
44,198.5

28,788.8
....
....
....
....
....
....
1,430.7
57.0
....
57.0
....
....
....
1,373.7
....
10.7
1,363.0
....
....
....
134,103.5
....
134,103.5
....
4,213.9
8,899.6
120,990.0
....
46,385.0
1,524.2
493.9
.3
44,366.6

29,535.6
....
....
....
....
....
....
1,684.1
57.0
....
57.0
....
....
....
1,627.1
....
3.0
1,624.1
....
....
....
144,590.3
....
144,590.3
....
2,589.0
8,497.3
133,504.0
....
47,966.2
1,932.4
3,170.4
.3
42,863.1

30,328.3
....
....
....
....
....
....
420.2
64.0
....
64.0
....
....
....
356.2
....
4.0
352.2
....
....
....
154,301.8
....
154,301.8
....
2,364.0
9,673.8
142,264.0
....
52,187.8
2,496.6
3,114.2
.3
46,576.7

31,858.3
....
....
....
....
....
....
224.3
62.0
....
62.0
....
....
....
162.3
....
5.0
157.3
....
....
....
172,880.0
....
172,880.0
....
2,238.0
10,639.0
160,003.0
....
46,375.0
3,126.5
3,152.0
.3
40,096.2

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

145,021.6
55,138.8
40,694.0
40,694.0
....
....
14,444.8
14,444.8
....
....
33,794.0
2,496.5
....
622.0
....
1,874.5
....
31,297.4
96.6
2,165.2
19,830.7
9,204.9
....

156,583.3
60,253.3
46,276.3
46,276.3
....
....
13,977.0
13,977.0
....
....
46,351.9
4,843.2
....
1,615.8
....
3,227.4
....
41,508.8
872.0
2,474.3
28,901.6
9,260.9
....

172,156.2
67,573.6
50,921.9
50,921.9
....
....
16,651.7
16,651.7
....
....
48,971.5
6,785.9
....
1,377.1
....
5,408.8
....
42,185.6
2,238.8
1,811.7
29,803.6
8,331.5
....

153,399.3
77,066.3
55,585.8
55,585.8
....
....
21,480.5
21,480.5
....
....
17,983.5
2,510.2
....
426.1
....
2,084.0
....
15,473.3
253.6
670.4
9,688.5
4,860.8
....

168,055.2
79,871.3
60,461.3
60,461.3
....
....
19,410.0
19,410.0
....
....
29,154.8
3,493.8
....
926.8
....
2,567.0
....
25,661.0
1.4
1,216.1
18,806.5
5,637.1
....

193,618.0
87,552.1
65,482.4
65,482.4
....
....
22,069.7
22,069.7
....
....
41,728.5
5,375.5
....
2,029.4
....
3,346.1
....
36,353.0
....
799.4
30,236.8
5,316.8
....

202,655.4
94,864.0
70,810.4
70,810.4
....
....
24,053.6
24,053.6
....
....
32,333.0
3,376.9
....
925.8
....
2,451.1
....
28,956.1
....
1,096.4
22,778.4
5,081.2
....

_______________________________________________________________________________________________________________________________
30
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Argentina

213
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Argentine pesos per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
1,832.1 5,322.6 4,641.4 1,177.6 2,282.9 6,669.1 4,855.0
. . . . 54,256.7 44,655.4 50,969.7 57,171.8 56,746.2 57,668.4 70,603.5
....
....
....
....
....
....
....
....
....
455.0
479.0
503.1
490.4 3,166.8 3,110.9 3,101.3
. . . . 53,801.7 44,176.4 50,466.6 56,681.5 53,579.4 54,557.5 67,502.1
. . . . 10,292.8
....
1,520.0
4,297.2
2,910.0
....
5,000.0
....
3,037.6
2,946.3
3,898.7
3,495.7
2,109.6
2,082.1
2,729.1
. . . . 22,516.4 22,421.8 22,819.5 22,814.5 24,309.5 25,303.6 26,563.2
. . . . 17,954.8 18,808.3 22,228.4 26,074.1 24,250.3 27,171.8 33,209.8
....
....
....
....
....
....
....
....
. . . . 20,833.3 21,411.2 33,940.9 57,308.7 55,720.9 43,620.1 48,682.1
....

3.01200

3.04200

3.12900

3.43300

3.78000

3.95600

4.28400

_______________________________________________________________________________________________________________________________
31
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Armenia, Republic of

911
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to 2010 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
A. Current Account.......................................... 10999F B XN
....
51.71 117.13 589.60 1,382.85 1,369.48 1,373.19 1,136.51
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

1,003.56
1,591.85

1,024.12
1,920.46

1,194.77
2,796.04

1,110.28
3,774.77

747.51
2,829.43

1,173.90
3,207.67

1,455.85
3,561.27

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

411.45
531.05

485.23
615.13

581.12
792.60

645.93
973.12

590.14
857.62

762.76
1,003.80

920.92
1,229.79

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

457.51
324.99

575.37

624.26
409.09

810.75
532.36

994.43
523.23

715.16
549.16

959.75
621.08

1,261.83
706.27

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

603.52
79.86

791.67
97.71

1,024.77
80.01

1,239.46
101.83

894.79
80.87

783.71
220.76

969.10
246.89

B. Capital Account........................................... 20999F B AA

....

73.25

86.38

142.75

148.88

89.10

107.92

94.39

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

76.06
2.81

21.54

91.94
5.56

160.13
17.38

165.86
16.98

102.55
13.45

123.14
15.22

113.34
18.95

C. Financial Account......................................... 30999F N AA

....

162.73

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

6.72
6.72
....

3.08
3.08
....

2.14
2.14
....

10.21
10.21
....

52.72
43.24
9.48

8.25
8.25
....

216.00
78.00
138.00

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

239.38
229.30
10.08

453.17
410.63
42.54

698.82
457.68
241.14

935.43
1,027.92
92.48

777.50
735.59
41.91

570.06
401.43
168.63

663.45
396.17
267.28

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

2.72
.20
2.52

.18
.41
.59

.52
.14
.66

2.61
.05
2.56

10.56
.55
10.01

1.48
.11
1.37

.37
.69
.32

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1.13
1.33
.20

9.40
.60
10.00

9.74
.18
9.92

5.72
.70
6.42

6.69
.51
6.19

12.23
.44
11.79

10.75
.23
10.99

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

170.65
....
170.65

175.67
....
175.67

257.83
....
257.83

580.64
....
580.64

478.00
....
478.00

245.62
....
245.62

88.11
2.35
85.76

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

102.31
....
102.31

184.27

150.48
....
150.48

403.38

574.54
....
574.54

561.59

653.34
....
653.34

227.70

1,182.85
....
1,182.85

145.39

647.23
....
647.23

291.10

734.74
....
734.74

D. Net Errors and Omissions............................. 40999S N AA

....

2.37

16.12

1.95

13.70

20.12

17.63

.49

E. Reserves and Related Items.......................... 4Z999S N AA

....

186.64

387.26

559.64

214.00

165.51

273.47

42.08

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

161.89
24.75
....

365.90
21.36
....

546.12
13.52
....

233.43
19.43
....

600.24
435.01
.29

111.45
161.91
.10

132.94
90.86
....

Conversion rates: drams per U.S. dollar........... RFZ F B

....

457.69

416.04

342.08

305.97

363.28

373.66

372.50

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

588.29

896.35 1,601.27 2,664.49 2,081.92 2,033.77 2,105.42

707.89 1,026.25 1,812.75 2,991.68 2,349.40 2,274.81 2,414.28

811.08 1,534.36 2,520.48 2,183.40 1,936.14 1,858.72

30.74

446.85 1,233.97 1,280.38 1,265.27 1,042.12

434.12 1,008.44 1,006.27 1,425.77

974.17 1,083.71

41.58

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
32
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Armenia, Republic of

911
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to 2010 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
CURRENT ACCOUNT.......................................... 109999 B XN
....
51.71 117.13 589.60 1,382.85 1,369.48 1,373.19 1,136.51
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 707.89 1,026.25 1,812.75 2,991.68 2,349.40 2,274.81 2,414.28
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 1,415.01 1,509.35 1,775.89 1,756.21 1,337.65 1,936.66 2,376.78


. . . . 2,122.90 2,535.59 3,588.64 4,747.89 3,687.05 4,211.47 4,791.06
. . . . 588.29 896.35 1,601.27 2,664.49 2,081.92 2,033.77 2,105.42
. . . . 1,003.56 1,024.12 1,194.77 1,110.28
747.51 1,173.90 1,455.85
. . . . 1,003.56 1,024.12 1,194.77 1,110.28
747.51 1,173.90 1,388.53
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
67.33
. . . . 1,591.85 1,920.46 2,796.04 3,774.77 2,829.43 3,207.67 3,561.27
. . . . 1,591.85 1,920.46 2,796.04 3,774.77 2,829.43 3,207.67 3,482.92
....
....
....
....
....
....
....
78.35
. . . . 119.60 129.90 211.48 327.19 267.48 241.04 308.86
....
411.45
485.23
581.12
645.93
590.14
762.76
920.92
....
531.05
615.13
792.60
973.12
857.62 1,003.80 1,229.79
....
.36
.49
1.02
.96
.64
1.24
93.95
....
....
....
....
....
....
....
84.48
....
....
....
....
....
....
....
2.50
....
....
....
....
....
....
....
9.52
....
93.53
104.26
133.98
138.56
109.31
156.98
176.74
19.54
35.60
38.31
45.79
40.46
48.13
40.18
....
....
58.02
59.19
83.31
76.82
52.78
91.51
119.66
....
15.97
9.47
12.36
15.96
16.08
17.34
16.90
....
212.63
233.17
362.48
470.21
383.88
448.93
460.50
....
48.13
34.57
51.26
59.25
53.31
62.44
68.88
....
147.18
183.93
267.81
369.00
288.48
330.23
345.28
....
17.32
14.67
43.41
41.96
42.09
56.26
46.33
....
219.97
270.73
304.91
330.51
334.11
408.19
445.59
....
98.99
111.00
108.91
115.99
116.84
145.15
161.13
....
120.99
159.73
196.00
214.52
217.27
263.04
284.47
....
236.34
286.04
294.31
324.00
325.86
403.95
477.28
....
126.49
134.73
95.83
121.26
79.90
119.27
153.78
....
109.85
151.31
198.48
202.75
245.96
284.68
323.50
....
97.58
109.75
141.21
175.90
146.08
196.35
202.15
....
10.56
9.94
11.17
14.34
7.61
8.31
8.33
....
11.89
14.77
14.68
15.49
10.54
13.10
18.77
....
3.23
3.60
4.15
3.88
5.03
7.07
8.04
....
....
....
....
....
....
....
....
....
49.26
53.96
83.98
111.61
94.27
127.50
101.77
....
9.53
12.44
12.14
13.98
12.69
9.63
21.07
....
4.78
5.42
5.88
7.15
6.49
18.92
19.26
....
8.34
9.61
9.21
9.44
9.44
11.82
24.91
....
82.07
95.92
135.81
178.91
147.89
150.92
197.89
....
2.77
3.21
3.76
5.23
3.81
2.53
2.69
....
23.70
28.68
48.95
72.78
51.50
57.08
55.12
....
1.89
2.65
4.99
6.83
9.44
9.04
11.09
....
....
....
....
....
....
....
....
....
14.35
17.85
19.87
25.45
20.32
25.04
18.64
....
18.30
21.24
29.68
36.14
35.02
27.21
74.77
....
6.66
7.32
7.97
10.85
9.37
11.65
10.45
....
14.41
14.97
20.59
21.62
18.44
18.37
25.13
....
....
....
....
....
....
....
....
....
....
....

132.52
457.51
324.99
428.75
132.99
28.76
.43
.43
....
.43
....

215.17
624.26
409.09
575.95
129.63
48.30
1.41
1.41
.72
.69
....

278.39
810.75
532.36
742.66
166.08
68.09
1.01
1.01
....
1.01
....

471.20
994.43
523.23
929.18
168.96
65.25
1.20
1.20
....
1.20
....

166.00
715.16
549.16
676.96
130.16
38.20
.26
.26
....
.26
....

338.67
555.57
959.75 1,261.83
621.08
706.27
918.86 1,204.88
148.09
152.67
40.89
56.96
.07
.50
.07
.50
....
....
.07
.50
....
....

_______________________________________________________________________________________________________________________________
33
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Armenia, Republic of

911
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

6.95
....
....
....
6.95
21.38
....
21.38
....
....
....
....
192.00
169.91
169.43
14.19
155.24
.47
.58
....
....
....
.58
21.52
....
21.52
....
....
....

8.64
....
....
....
8.64
38.26
....
38.26
....
....
....
....
279.46
244.37
243.15
49.26
193.90
1.22
.85
.30
....
....
.54
34.24
....
34.24
....
....
....

14.82
....
....
....
14.82
52.26
....
52.26
....
....
....
....
366.28
332.23
331.24
81.02
250.22
.99
1.20
.37
....
....
.83
32.85
....
32.85
....
....
....

34.53
.01
....
....
34.52
29.52
....
29.52
....
....
....
....
354.28
279.18
266.54
58.44
208.10
12.65
.30
.07
....
....
.23
74.79
....
74.79
....
....
....

18.75
....
....
....
18.75
19.71
....
19.71
....
....
....
....
419.00
331.63
314.96
49.88
265.07
16.67
.97
.14
....
....
.83
86.41
....
86.41
....
....
....

21.20
....
....
....
21.20
19.62
....
19.62
....
....
....
....
472.99
363.91
359.89
101.63
258.26
4.02
2.21
.41
....
....
1.80
106.87
....
106.87
....
....
....

.19
.01
.01
....
.19
24.57
....
24.57
....
31.69
....
31.69
553.60
377.42
352.83
115.61
237.22
24.59
3.30
.60
.60
....
2.71
172.88
....
172.83
.05
....
....

....
....
....
....
....
....
....
....
....
....
....

523.66
603.52
68.49
535.02
57.99
477.03
79.86
2.42
77.44
16.04
61.40

693.95
944.76 1,137.63
791.67 1,024.77 1,239.46
81.95
97.22
78.19
709.71
927.55 1,161.27
74.38
94.36
123.57
635.33
833.19 1,037.70
97.71
80.01
101.83
2.00
2.76
2.95
95.71
77.25
98.88
18.53
5.32
10.93
77.18
71.93
87.95

813.92
894.79
84.04
810.75
85.79
724.96
80.87
3.35
77.52
10.97
66.56

562.95
783.71
89.48
694.23
71.91
622.32
220.76
3.68
217.08
3.97
213.11

722.21
969.10
180.07
789.03
788.73
.31
246.89
4.17
242.72
153.47
89.26

....
....
....
....
....
....
....
....
....
....
....
....
....

73.25
....
....
76.06
18.03
....
18.03
58.03
2.81
....
....
....
2.81

89.10
....
....
102.55
25.47
....
25.47
77.08
13.45
....
....
....
13.45

107.92
....
....
123.14
37.36
....
37.36
85.78
15.22
....
....
....
15.22

94.39
....
....
113.34
63.53
....
63.53
49.80
18.95
....
....
....
18.95

86.38
....
....
91.94
24.51
....
24.51
67.43
5.56
....
....
....
5.56

FINANCIAL ACCOUNT........................................ 30999S N AA

....

23.90

46.86

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

232.66
6.72
6.72
6.29
6.29
....
....
.43
....
....
....
....

450.09
3.08
3.08
2.39
2.39
....
....
.69
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

142.75
....
....
160.13
62.42
....
62.42
97.71
17.38
....
....
....
17.38

148.88
....
....
165.86
52.83
....
52.83
113.03
16.98
....
....
....
16.98

448.80 1,220.27 1,260.26 1,247.64 1,041.63


700.96
2.14
2.14
3.15
3.15
....
....
1.01
....
....
....
....

925.22
10.21
10.21
9.01
9.01
....
....
1.20
....
....
....
....

724.78
52.72
43.24
43.49
43.49
....
....
.26
9.48
9.48
....
....

561.81
8.25
8.25
8.18
8.18
....
....
.07
....
....
....
....

447.46
216.00
78.00
77.50
77.50
....
....
.50
138.00
....
138.00
....

_______________________________________________________________________________________________________________________________
34
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Armenia, Republic of

911
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

....
....
....
....
....
....
....
....
....
....
....

239.38
229.30
74.06
74.06
....
....
155.24
10.08
10.08
....
....

453.17
410.63
216.73
216.73
....
....
193.90
42.54
42.54
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.59
2.72
.20
....
.10
....
.10
....
2.52
....
2.52
....
....
....
1.13
1.33
....
1.33
....
....
....
.20
....
....
.20
....
....

9.22
.18
.41
....
.41
....
....
....
.59
....
.59
....
....
....
9.40
.60
....
.60
....
....
....
10.00
....
10.00
....
....
....

9.22
.52
.14
....
.14
....
....
....
.66
....
.66
....
....
....
9.74
.18
....
.18
....
....
....
9.92
....
9.92
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

93.09
170.65
....
170.65
2.55
42.10
58.71
156.59
....
77.57
....
....
77.57
23.87
24.16
36.05
41.23
....

46.55
175.67
....
175.67
.70
7.68
84.24
252.94
....
129.13
....
....
129.13
21.91
34.05
68.67
48.32
....

303.19
257.83
....
257.83
.04
18.60
2.18
237.01
....
561.02
....
....
561.02
4.20
331.69
181.12
52.41
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

161.89
....
1.07
....
162.96

365.90
....
3.16
....
362.74

546.12
....
4.69
....
550.81

233.43
....
5.89
....
227.54

NET ERRORS AND OMISSIONS.........................

....

2.37

16.12

1.95

13.70

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

2007

2008

2009

2010

2011

698.82
935.43
457.68 1,027.92
207.46
819.82
207.46
819.82
....
....
....
....
250.22
208.10
241.14
92.48
241.14
92.48
....
....
....
....

777.50
735.59
470.52
470.52
....
....
265.07
41.91
41.91
....
....

570.06
401.43
143.17
143.17
....
....
258.26
168.63
168.63
....
....

663.45
396.17
158.95
158.95
....
....
237.22
267.28
267.28
....
....

8.33
2.61
.05
....
.05
....
....
....
2.56
....
2.56
....
....
....
5.72
.70
....
.70
....
....
....
6.42
....
6.51
....
.08
....

3.86
10.56
.55
....
.05
....
.49
....
10.01
10.05
.06
....
.02
....
6.69
.51
....
.45
....
.06
....
6.19
....
6.19
....
....
....

10.75
1.48
.11
....
.02
....
.09
....
1.37
.72
.65
....
....
....
12.23
.44
....
.44
....
....
....
11.79
....
10.51
1.28
....
....

10.38
.37
.69
....
.03
....
.66

....
....
....

....
....
....

....
....
....

....
....
....

53.28 1,139.58
580.64
478.00
....
....
580.64
478.00
.64
2.36
71.98
202.99
2.81
.11
506.48
272.54
....
....
633.91 1,617.58
....
....
....
137.63
633.91 1,479.95
12.05
309.83
365.23
42.43
144.95 1,044.18
135.79
168.36
....
....

563.62
245.62
....
245.62
.23
4.68
1.69
239.02
....
809.24
....
....
809.24
71.84
257.30
288.75
191.36
....

737.49
88.11
2.35
85.76
1.02
25.57
1.22
60.38

600.24
....
121.07
....
479.17

111.45
....
88.62
....
22.83

132.94
....
23.09
....
109.85

20.12

17.63

.49

.66

.32
.76
.44
....
....
....
10.75
.23
....
.23
....
.01

.01

10.99
....
10.51
.47
....
....

.64

825.60
....
....
825.60
58.43
502.24
215.65
49.28

1.04

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
35
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Armenia, Republic of

911

Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to 2009 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
ASSETS.............................................................. 80999S A AA
. . . . 1,427.93 1,982.46 2,822.65 3,113.15 4,222.57 4,330.01 4,972.81
Direct investment............................................. 8A9999 A AA
....
10.27
15.54
14.34
24.49
76.71
85.48
291.65
Equity and investment fund shares................. 8AA000 A AA
....
10.27
15.54
14.34
24.49
67.23
76.00
153.65
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

10.27
15.54
14.34
24.49
67.23
76.00
153.65
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
9.48
9.48
138.00
....
....
....
....
9.48
9.48
....
....
....
....
....
....
....
138.00
....
....
....
....
....
....
....
5.94
5.26
4.89
2.19
14.15
13.84
12.88
3.29
2.04
2.18
2.08
3.89
1.81
1.44
....
....
....
....
....
....
....
.58
.22
.36
.34
1.64
1.12
1.40
....
....
....
....
....
....
....
2.71
1.82
1.82
1.73
2.25
.69
.03
.69
.03
....
....
....
....
....
2.64
3.22
2.71
.11
10.26
12.03
11.44
....
....
....
....
10.22
11.37
11.44
2.65
3.22
2.62
.11
.03
.66
....
....
.01
....
....
....
....
....
....
....
.09
....
.01
....
....
....
....
....
....
....
....
....
.01
.01
....
....
....
....
....
737.96
889.73 1,144.32 1,676.75 2,128.10 2,364.87 2,735.81
....
....
....
....
....
10.91
13.26
737.96
889.73 1,144.32 1,676.75 2,128.10 2,353.96 2,722.55
.13
.46
.68
.06
2.19
2.48
30.32
201.71
214.35
243.14
305.97
507.59
506.38
523.33
106.65
22.41
24.59
27.40
27.51
16.97
16.26
429.47
652.51
875.91 1,343.32 1,590.81 1,828.12 2,152.63
.94
1.52
....
....
....
....
....
673.76 1,071.92 1,659.10 1,409.73 2,003.61 1,865.82 1,932.47
....
....
....
2.93
....
....
....
10.18
13.96
9.60
2.91
124.64
33.48
57.03
....
....
....
....
....
....
....
663.58 1,057.96 1,649.50 1,403.89 1,878.97 1,832.34 1,875.44

. . . . 2,899.76 3,528.98 4,912.35 6,580.22 8,301.66 10,005.36 11,690.00


. . . . 1,298.29 1,774.37 2,485.76 3,520.86 3,628.22 4,338.18 5,183.73
. . . . 1,070.11 1,503.53 1,986.93 3,129.30 3,272.49 3,707.33 4,286.20
. . . . 1,070.11 1,503.53 1,986.93 3,129.30 3,272.49 3,707.33 4,286.20
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
228.17
270.84
498.83
391.57
355.73
630.85
897.52
....
228.17
270.84
498.83
391.57
355.73
630.85
897.52
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
5.47
15.96
9.36
18.27
20.92
33.71
17.79
....
5.48
5.97
9.28
11.67
8.35
9.23
11.12
....
....
....
....
....
....
....
....
....
5.32
5.81
9.17
11.56
8.20
8.99
10.89
....
....
....
....
....
....
....
....
....
.16
.16
.11
.11
.15
.24
.23
.15
.15
....
....
....
....
....
....
....
.01
9.99
.08
6.60
12.57
24.48
6.67
....
....
....
....
....
....
....
....
....
.01
10.00
.08
6.60
12.57
23.09
5.79
....
.01
.01
....
....
....
1.39
.88
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
36
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Armenia, Republic of

911

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: drams per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
. . . . 1,596.00 1,738.65 2,417.23 3,041.09 4,652.52 5,633.47 6,488.49
....
....
....
....
....
....
....
....
....
....
....
....
....
137.94
135.51
135.09
. . . . 1,596.00 1,738.65 2,417.23 3,041.09 4,514.58 5,497.97 6,353.40
....
197.23
186.55
193.27
175.97
503.91
563.42
617.74
....
152.39
194.84
543.63
908.23
851.90 1,104.76 1,601.56
....
903.14 1,021.19 1,259.79 1,403.80 2,471.65 2,741.85 2,954.23
....
343.24
336.06
420.54
553.09
687.12 1,087.93 1,179.88
5.61
4.27
....
....
....
....
....
....
. . . . 1,471.83 1,546.52 2,089.70 3,467.06 4,079.09 5,675.35 6,717.19
....

450.19

363.50

304.22

306.73

377.89

363.44

385.77

_______________________________________________________________________________________________________________________________
37
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Aruba

314
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
113.5
311.7
264.0
18.9
193.6
426.5

234.9

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

4,416.3
4,287.7

4,716.0
4,722.7

5,206.2
5,125.9

5,456.2
6,009.2

1,951.7
2,448.6

496.8

264.3
1,378.3

1,114.0

5,179.4
5,891.5

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

1,307.7
711.7

1,309.0
754.8

1,469.8
783.0

1,598.6
786.4

1,522.9
686.1

1,545.5
671.7

1,676.7
857.0

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

42.6
521.1

246.2

62.6
168.4

441.7

90.7
470.6

387.2

72.1
183.4

147.9

58.8
123.6

275.2

45.1
163.5

358.5

40.6
269.3

121.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

51.1
183.7

53.9
183.9

57.4
180.5

69.1
198.1

70.0
151.5

70.1
138.1

75.2
189.0

B. Capital Account........................................... 20999F B AA

....

18.6

21.1

18.9

157.0

34.0

8.2

3.2

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

26.8
8.2

132.1

29.5
8.4

332.8

28.1
9.2

282.9

167.2
10.2

175.9

39.8
5.8

227.7

14.3
6.1

418.2

9.7
6.4

231.6

C. Financial Account......................................... 30999F N AA

....

170.4

278.5

245.7

61.7

179.8

398.8

200.0

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

8.9
.4
9.3

12.8
.9
11.8

39.6
1.5
41.0

2.8
3.8
1.0

1.5
.4
1.1

2.7
3.2
.5

3.1
4.5
1.4

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

207.8
109.5
317.3

220.4
266.4
46.0

474.4
32.6
506.9

14.2
219.2
204.9

33.5
182.3
215.8

159.6
29.1
130.5

543.8
93.6
450.2

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

18.5
3.3
15.2

83.9
75.3
8.6

26.1
39.1
13.0

2.5
12.3
9.7

11.2
14.4
25.5

.1
2.3
2.3

19.4
9.7
9.7

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

40.9
....
40.9

36.0
....
36.0

86.2
....
86.2

45.2
....
45.2

14.5
....
14.5

12.2
....
12.2

22.3
....
22.3

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

1.6
2.6
1.0

2.6
1.2
3.9

1.1
2.8
1.8

10.3
.1
10.4

.9
.6
1.6

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

52.6
....
52.6

423.2
....
423.2

210.1
....
210.1

81.3
....
81.3

100.0
....
100.0

240.8
....
240.8

537.3
....
537.3

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

48.0
....
48.0

38.0
....
38.0

3.0
....
3.0

63.4
....
63.4

47.2
....
47.2

11.0
....
11.0

193.7
....
193.7

D. Net Errors and Omissions............................. 40999S N AA

....

16.1

.9

6.0

12.3

13.7

8.9

4.6

E. Reserves and Related Items.......................... 4Z999S N AA

....

22.2

55.1

43.2

225.3

34.2

10.6

36.3

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

22.2
....
....

55.1
....
....

43.2
....
....

225.3
....
....

34.2
....
....

10.6
....
....

36.3
....
....

Conversion rates: florins per U.S. dollar........... RFZ F B

....

1.7900

1.7900

1.7900

1.7900

1.7900

1.7900

1.7900

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

128.6

724.6

38.3

2006

6.7

547.6

54.3

2007

80.3

767.1

37.2

2008

553.0

259.2

237.6

2009

340.0

47.9

240.1

19.4

712.0

107.7

31.6

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
38
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Aruba

314
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
113.5
311.7
264.0
18.9
193.6
426.5
GOODS AND SERVICES..................................... 1Z9999 B XN
....
724.6
547.6
767.1
259.2
340.0
240.1
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

234.9
107.7
6,856.2
6,748.5
712.0
5,179.4
5,179.4
....
....
5,891.5
5,891.5
....
819.7
1,676.7
857.0
....
....
....
....
64.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,724.0
4,999.4
128.6
4,416.3
4,416.3
....
....
4,287.7
4,287.7
....
596.0
1,307.7
711.7
....
....
....
....
56.6
....
....

6,025.0
5,477.4
6.7
4,716.0
4,716.0
....
....
4,722.7
4,722.7
....
554.2
1,309.0
754.8
....
....
....
.2
53.4

6,676.0
5,908.9
80.3
5,206.2
5,206.2
....
....
5,125.9
5,125.9
....
686.8
1,469.8
783.0
....
....
....
.4
56.9

7,054.8
6,795.6
553.0
5,456.2
5,456.2
....
....
6,009.2
6,009.2
....
812.2
1,598.6
786.4
....
....
....
1.8
57.3

....

....

....

159.1

168.7

169.8

192.3

129.4

108.8

193.2

1,097.4
....
....
225.9
....
....
153.7
.1
.1
3.9
....
10.5
122.3
....
16.9
326.7
26.2
.3
11.0
6.8
37.1
217.5
....
27.8

1,064.1
....
....
217.8
....
....
191.5
1.5
.2
5.2
....
14.7
150.4
....
19.4
368.2
50.6
.3
13.4
10.4
39.1
220.8
....
33.6

....
1,211.0
....
....
250.6
....
....
202.0
9.3
.7
6.0
....
15.4
148.6
3.1
18.8
362.3
49.4
.9
14.1
9.8
40.3
211.6
1.7
34.4

1,348.4
....
....
250.9
....
....
192.9
3.1
.8
7.2
....
17.0
144.2
3.9
16.7
341.4
47.3
1.0
14.5
11.9
52.6
177.1
1.6
35.1

....
1,217.8
....
....
244.5
....
....
244.3
5.9
.4
7.6
....
15.6
192.8
2.1
19.9
312.2
16.3
.2
15.5
13.0
57.5
164.5
2.8
42.3

....
1,244.8
....
....
244.6
....
....
249.2
7.0
.2
11.3
....
17.0
197.4
1.4
14.9
318.4
21.9
.2
12.8
13.7
53.4
174.7
3.2
38.4

1,352.0
....
....
271.3
....
....
259.9
1.7
....
11.6
....
20.2
205.6
3.1
17.8
392.6
77.7
....
12.3
9.5
34.0
218.8
4.3
36.0

....
....
....
....
....
....
....
....
....
....
....

478.4
42.6
521.1
.8
3.2
41.8
5.1
....
....
....
....

105.8
62.6
168.4
.9
9.2
61.6
15.8
....
....
....
....

379.9
90.7
470.6
4.8
9.7
85.9
15.9
....
....
....
....

111.3
72.1
183.4
4.7
5.4
67.4
17.5
....
....
....
....

64.9
58.8
123.6
4.9
1.7
53.8
13.0
....
....
....
....

118.4
45.1
163.5
1.1
2.1
44.0
9.9
....
....
....
....

228.7
40.6
269.3
.6
1.7
40.0
7.4
....
....
....
....

56.6

24.4
134.4
.3

.1

53.3

23.0
145.5
.2

.3

56.6

18.8
151.0

.8

56.4

21.9
170.3
.1

3,474.7
1,809.8
3,134.7
2,050.0
496.8 1,114.0
1,951.7
264.3
1,951.7
264.3
....
....
....
....
2,448.6 1,378.3
2,448.6
1,378.3
....
....
836.8
873.8
1,522.9
1,545.5
686.1
671.7
....
....
....
....
....
....
.1
....
60.9
51.5

2011

.6

2.8

....

....

60.2

20.6
108.8

48.7

18.7
90.1

7.1

....

57.7

19.4
173.0
.8

_______________________________________________________________________________________________________________________________
39
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Aruba

314
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

20.6
4.6
....
....
16.0
16.1
....
16.1
....
....
....
....
517.9
451.7
....
....
....
....
32.3
.1
....
....
32.2
33.8
....
33.8
....
....
....

25.5
4.8
....
....
20.7
20.3
....
20.3
....
....
....
....
159.3
98.5
....
....
....
....
30.8
.5
....
....
30.3
29.9
....
29.9
....
....
....

37.2
12.0
....
....
25.2
32.7
....
32.7
....
....
....
....
460.9
392.9
....
....
....
....
33.7
....
....
....
33.7
34.3
....
34.3
....
....
....

27.7
7.5
....
....
20.2
22.2
....
22.2
....
....
....
....
178.0
108.7
....
....
....
....
35.6
....
....
....
35.6
33.7
....
33.7
....
....
....

29.1
3.8
....
....
25.3
11.8
....
11.8
....
....
....
....
121.9
57.7
....
....
....
....
40.6
....
....
....
40.6
23.6
....
23.6
....
....
....

26.3
3.1
....
....
23.2
7.8
....
7.8
....
....
....
....
161.3
102.2
....
....
....
....
37.3
....
....
....
37.3
21.8
....
21.8
....
....
....

22.9
3.9
....
....
19.0
9.7
....
9.7
....
....
....
....
267.6
213.5
....
....
....
....
36.1
....
....
....
36.1
18.0
....
18.0
....
....
....

....
....
....
....
....
....
....
....
....
....
....

132.7
51.1
17.8
33.2
....
33.2
183.7
11.1
172.6
58.7
113.9

130.0
53.9
14.9
38.9
.1
38.9
183.9
8.0
175.9
62.7
113.2

123.2
57.4
14.4
43.0
.4
42.6
180.5
9.3
171.2
63.5
107.7

129.0
69.1
17.6
51.5
2.5
49.0
198.1
9.8
188.2
70.2
118.0

81.5
70.0
15.6
54.5
4.9
49.6
151.5
5.0
146.5
69.4
77.1

68.0
70.1
12.8
57.3
3.9
53.5
138.1
3.4
134.7
62.6
72.0

113.8
75.2
12.6
62.6
4.7
57.9
189.0
9.0
180.0
62.1
117.9

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

18.6
....
....
26.8
15.9
....
15.9
10.9
8.2
....
....
....
8.2

21.1
....
....
29.5
18.5
....
18.5
11.0
8.4
....
....
....
8.4

18.9
....
....
28.1
19.0
....
19.0
9.1
9.2
....
....
....
9.2

157.0
....
....
167.2
158.7
....
158.7
8.6
10.2
....
....
....
10.2

34.0
....
....
39.8
28.3
....
28.3
11.6
5.8
....
....
....
5.8

8.2
....
....
14.3
3.4
....
3.4
10.9
6.1
....
....
....
6.1

3.2
....
....
9.7
....
....
....
9.7
6.4
....
....
....
6.4

FINANCIAL ACCOUNT........................................ 30999S N AA

....

148.2

333.7

288.9

163.6

214.0

409.4

236.3

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

198.9
8.9
.4
.4
.4
....
....
....
9.3
9.3
....
....

233.2
12.8
.9
.9
.9
....
....
....
11.8
11.8
....
....

513.9
39.6
1.5
1.5
1.5
....
....
....
41.0
41.0
....
....

11.5
2.8
3.8
3.8
3.8
....
....
....
1.0
1.0
....
....

35.0
1.5
.4
.4
.4
....
....
....
1.1
1.1
....
....

156.9
2.7
3.2
3.2
3.2
....
....
....
.5
.5
....
....

540.7
3.1
4.5
4.5
4.5
....
....
....
1.4
1.4
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
40
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Aruba

314
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

207.8
109.5
109.5
109.5
....
....
....
317.3
317.3
....
....

220.4
266.4
266.4
266.4
....
....
....
46.0
46.0
....
....

474.4
32.6
32.6
32.6
....
....
....
506.9
506.9
....
....

14.2
219.2
219.2
219.2
....
....
....
204.9
204.9
....
....

33.5
182.3
182.3
182.3
....
....
....
215.8
215.8
....
....

159.6
29.1
29.1
29.1
....
....
....
130.5
130.5
....
....

543.8
93.6
93.6
93.6
....
....
....
450.2
450.2
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

22.4
18.5
3.3
....
....
....
3.3
....
15.2
....
10.9
....
26.1
....
40.9
....
....
....
....
....
....
40.9
....
19.0
30.5
8.5
....

47.9
83.9
75.3
....
....
....
75.3
....
8.6
....
3.6
....
5.0
....
36.0
....
....
....
....
....
....
36.0
....
....
46.4
10.4
....

60.1
26.1
39.1
....
....
....
39.1
....
13.0
....
15.7
....
2.7
....
86.2
....
....
....
....
....
....
86.2
....
....
29.5
56.7
....

42.7
2.5
12.3
....
....
....
12.3
....
9.7
....
1.3
....
8.5
....
45.2
....
....
....
....
....
....
45.2
....
19.0
52.6
11.6
....

3.4
11.2
14.4
....
....
....
14.4
....
25.5
....
.4
....
25.1
....
14.5
....
....
....
....
....
....
14.5
....
....
23.3
8.8
....

12.1
.1
2.3
....
....
....
2.3
....
2.3
....
.8
....
3.2
....
12.2
....
....
....
....
....
....
12.2
....
....
44.5
32.3
....

2.9
19.4
9.7
....
....
....
9.7
....
9.7
....
1.6
....
8.2
....
22.3
....
....
....
....
....
....
22.3
....
....
32.1
9.7
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

1.6
2.6
1.0

2.6
1.2
3.9

1.1
2.8
1.8

10.3
.1
10.4

.9
.6
1.6

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4.5
52.6
....
52.6
....
7.8
....
60.4
....
48.0
....
....
48.0
....
10.9
3.2
33.9
....

461.2
423.2
....
423.2
....
2.4
....
420.8
....
38.0
....
....
38.0
....
29.9
13.7
54.2
....

207.1
210.1
....
210.1
....
55.2
....
265.3
....
3.0
....
....
3.0
....
47.5
12.5
38.1
....

17.9
81.3
....
81.3
....
50.8
....
132.1
....
63.4
....
....
63.4
....
14.7
25.0
23.7
....

147.2
100.0
....
100.0
....
57.5
....
42.5
....
47.2
....
....
47.2
....
22.9
10.1
14.2
....

229.8
240.8
....
240.8
....
85.6
....
155.2
....
11.0
....
....
11.0
....
4.3
13.7
7.0
....

343.6
537.3
....
537.3
....
3.4
....
533.9
....
193.7
....
....
193.7
....
18.4
240.9
28.8
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

22.2
....
....
....
22.2

55.1
....
....
....
55.1

43.2
....
....
....
43.2

225.3
....
....
....
225.3

34.2
....
....
....
34.2

10.6
....
....
....
10.6

36.3
....
....
....
36.3

NET ERRORS AND OMISSIONS.........................

....

16.1

.9

6.0

12.3

13.7

8.9

4.6

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
41
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Aruba

314
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
1,841.2 2,429.0 2,315.4 2,350.7 2,594.7 2,433.9
Direct investment............................................. 8A9999 A AA
....
636.7
623.0
609.7
612.3
611.4
614.9
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
409.6
279.1
....
....
....
279.1
....
130.6
....
17.6
....
112.9
....
....
464.4
....
464.4
....
313.7
....
150.7
....
330.5
57.0
....
....
273.5

....
....
....
....
....
....
....
508.1
342.8
....
....
....
342.8
....
165.3
....
21.2
....
144.1
....
....
889.5
....
889.5
....
316.1
....
573.4
....
408.4
70.6
....
....
337.8

....
....
....
....
....
....
....
524.7
374.4
....
....
....
374.4
....
150.3
....
5.6
....
144.8
....
....
715.9
....
715.9
....
371.2
....
344.7
....
465.0
92.9
....
....
372.1

....
....
....
....
....
....
....
404.3
278.2
....
....
....
278.2
....
126.1
....
4.2
....
121.9
....
....
633.1
....
633.1
....
422.1
....
211.0
....
701.0
96.1
....
....
604.9

....
....
....
....
....
....
....
485.7
326.7
....
....
....
326.7
....
158.9
....
4.7
....
154.2
....
....
796.5
....
796.5
....
479.6
....
317.0
....
701.1
122.9
....
....
578.2

....
....
....
....
....
....
....
545.8
390.2
....
....
....
390.2
....
155.6
....
3.9
....
151.7
....
....
548.7
....
548.7
....
393.2
....
155.5
....
724.5
157.0
....
....
567.5

2,469.5
618.1
....
....
....
....
....
....
....
....
524.5
349.1
....
....
....
349.1
....
175.4
....
5.4
....
170.0
....
....
615.0
....
615.0
....
397.4
....
217.6
....
711.9
175.2
....
....
536.7

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,427.0
1,986.5
....
....
....
....
....
....
....
....
514.4
....
....
....
....
....
....
514.4
....
19.0
316.4
178.9
....

4,470.6
3,041.9
....
....
....
....
....
....
....
....
561.3
....
....
....
....
....
....
561.3
....
19.0
362.8
179.5
....

4,719.9
3,283.4
....
....
....
....
....
....
....
....
537.9
....
....
....
....
....
....
537.9
....
19.0
392.3
126.6
....

5,071.7
3,574.8
....
....
....
....
....
....
....
....
599.9
....
....
....
....
....
....
599.9
....
....
444.9
155.0
....

5,002.1
3,577.8
....
....
....
....
....
....
....
....
616.2
....
....
....
....
....
....
616.2
....
....
468.2
148.0
....

5,142.1
3,752.8
....
....
....
....
....
....
....
....
575.7
....
....
....
....
....
....
575.7
....
....
512.7
63.1
....

5,728.9
4,307.2
....
....
....
....
....
....
....
....
622.7
....
....
....
....
....
....
622.7
....
....
544.7
77.9
....

_______________________________________________________________________________________________________________________________
42
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Aruba

314
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: florins per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
926.1
....
....
926.1
45.9
262.9
205.2
412.1
....

....
867.3
....
....
867.3
68.8
292.9
188.5
317.1
....

....
898.6
....
....
898.6
82.1
340.4
179.9
296.2
....

....
896.9
....
....
896.9
92.8
325.6
146.6
331.9
....

....
808.1
....
....
808.1
58.7
302.6
133.2
313.7
....

....
813.5
....
....
813.5
92.6
298.2
112.6
310.2
....

....
799.1
....
....
799.1
116.3
279.9
111.3
291.6
....

....
....

1,585.8 2,041.5 2,404.5 2,721.0 2,407.4 2,708.2 3,259.5


1.7900

1.7900

1.7900

1.7900

1.7900

1.7900

1.7900

_______________________________________________________________________________________________________________________________
43
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Australia

193
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis

A. Current Account..........................................

10999F B XN

....

41,728

41,378

59,090

46,945

44,211

35,666

32,882

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

106,942
120,331

124,641
134,035

9,394

142,510
160,641

18,131

188,947
193,176

154,786
159,304

213,757
196,228

271,844
243,498

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

30,701
30,633

33,497
32,472

41,124
40,565

44,831
48,846

41,384
42,208

47,670
51,276

51,710
60,914

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

41,399

40,965

59,040

46,819

43,709

34,861

32,303

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

4,113
4,441

4,567
4,980

5,488
5,538

5,788
5,914

5,021
5,523

5,845
6,650

7,029
7,608

B. Capital Account........................................... 20999F B AA

....

175

248

184

334

313

393

566

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

2
177

41,903

355
107

41,129

26
210

59,274

6
341

47,279

21
334

44,524

66
459

36,059

1
567

33,448

C. Financial Account......................................... 30999F N AA

....

49,665

50,946

24,332

50,885

52,578

35,945

38,571

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

31,496
32,595
1,098

25,440
16,307
9,134

16,162
11,281
4,880

35,030
30,227
4,804

16,323
8,437
7,885

27,083
24,215
2,867

16,297
10,019
6,280

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

24,477
31,027
6,549

31,246
15,163
16,083

45,305
30,326
14,979

45,431
27,984
17,446

27,938
29,498
1,560

34,357
34,997
640

67,638
50,803
16,834

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

29,055
14,125
14,930

52,116
24,457
27,658

84,072
50,651
33,423

4,884
4,771
112

71,578
39,137
32,440

40,964
18,074
22,891

37,815
28,131
9,685

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

62,343
9,484
52,861

105,155
13,840
91,314

60,309
13,855
46,454

27,463
19,414
8,048

146,112
33,296
112,815

114,220
11,101
103,119

70,882
3,308
74,189

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

1,401
14,564
15,965

735
11,462
10,726

10,962
266
11,229

2,097
4,492
2,395

6,565
39,021
45,586

1,896
27,045
28,941

28,850
27,793
56,644

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

3,531
....
3,531

17,381
....
17,381

10,742
....
10,742

56,417
....
56,417

27,443
1
27,442

14,939
273
14,666

28,726
325
28,401

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

14,289
....
14,289

8,747
....
8,747

40,656
....
40,656

62,457
....
62,457

435
11
424

27,749
92
27,842

11,739
102
11,841

D. Net Errors and Omissions............................. 40999S N AA

....

508

94

205

86

496

544

576

E. Reserves and Related Items.......................... 4Z999S N AA

....

7,254

9,723

35,147

3,691

8,549

430

4,546

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

7,254
....
....

9,723
....
....

35,147
....
....

3,691
....
....

8,549
....
....

430
....
....

4,546
....
....

Conversion rates: Australian dollars per U.S.


dollar............................................................. RFZ F B

....

1.3095

1.3280

1.1951

1.1922

1.2822

1.0902

.9695

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

13,389

4,230

4,518

17,529

28,346

13,321

8,369

17,572

8,245

5,342

13,923

19,142

17,861
45,940

23,926
56,522

34,509
75,977

40,627
79,201

27,478
65,844

35,720
84,504

42,296
93,741

7,762

9,816

34,942

3,606

8,054

114

5,123

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
44
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Australia

193
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

Data reported to the IMF on a BPM6 basis


CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 41,728 41,378 59,090
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 13,321
8,369 17,572
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2008

2009

2010

2011

44,211
5,342
196,170
201,513
4,518
154,786
142,516
254
12,016
159,304
152,753
6,551
824
41,384
42,208
45
....
54
183
5,080

35,666
13,923
261,427
247,503
17,529
213,757
199,736
237
13,784
196,228
190,256
5,972
3,605
47,670
51,276
36
....
50
260
5,818

32,882
19,142
323,554
304,412
28,346
271,844
255,211
164
16,468
243,498
237,360
6,138
9,204
51,710
60,914
27
1
41
427
6,442

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

137,643
150,964
13,389
106,942
101,687
61
5,193
120,331
118,084
2,247
69
30,701
30,633
6
1
64
127
5,635

158,138
166,507
9,394
124,641
116,558
126
7,957
134,035
129,893
4,142
1,025
33,497
32,472
20
....
54
82
5,838

183,634
201,206
18,131
142,510
132,578
216
9,716
160,641
155,291
5,350
559
41,124
40,565
14
....
81
111
6,607

46,945
8,245
233,777
242,022
4,230
188,947
176,357
192
12,397
193,176
184,880
8,296
4,016
44,831
48,846
18
....
92
115
7,334

10,721

11,317

13,076

14,919

10,575

13,529

15,654

16,850
1,446
15,404
11,253
1,864
9,389
8,146
41
264
1,272
552
1,250
3,664
435
668
8,531
....
402
856
1,972
1,211
2,720
775
596

17,854
1,721
16,133
11,689
1,951
9,738
9,731
15
224
1,962
620
1,362
4,406
491
650
9,384
....
399
1,016
2,152
1,332
2,985
881
619

22,374
2,201
20,173
14,831
2,284
12,547
12,047
22
272
2,367
693
1,581
5,891
511
710
12,547
....
503
1,250
2,809
1,626
4,693
955
711

25,119
2,347
22,772
18,749
2,805
15,943
12,268
65
323
1,393
700
1,639
6,751
669
727
15,063
....
537
1,071
3,019
1,743
6,667
1,301
725

25,758
2,137
23,621
17,949
2,313
15,635
10,447
88
249
953
747
1,498
5,631
609
673
13,501
....
434
620
2,832
1,696
6,165
1,051
703

29,839
2,727
27,112
22,241
2,669
19,572
11,927
83
298
903
931
1,590
6,639
701
783
15,245
....
521
630
3,422
1,877
6,713
1,267
816

31,456
3,674
27,782
26,949
3,117
23,832
13,743
76
419
1,400
924
1,739
7,420
885
879
17,883
....
596
892
4,077
1,964
7,812
1,626
916

....
....
....
....
....
....
....
....
....
....
....

28,078
17,861
45,940
940
1,074
16,919
9,538
9,106
1,980
7,126
432

32,595
23,926
56,522
1,015
1,555
22,906
12,679
12,237
3,490
8,747
443

41,468
34,509
75,977
1,342
2,370
33,163
18,026
17,362
3,442
13,920
664

38,574
40,627
79,201
1,526
2,695
39,101
20,148
19,411
3,228
16,183
737

38,366
27,478
65,844
1,340
2,506
26,139
10,586
10,067
2,603
7,464
519

48,784
35,720
84,504
1,594
2,972
34,126
15,662
14,821
3,892
10,929
841

51,445
42,296
93,741
1,871
3,570
40,424
18,671
17,435
4,845
12,590
1,236

2,970
560
2,105
4,403
5,920
398

2,872
604
2,361
4,756
6,197
364

3,250
707
2,650
5,598
7,094
384

3,187
1,349
2,798

5,940
8,488
491

2,264
400
2,416

3,942
6,197
437

2,497
389
2,932

5,293
7,851
385

2,712
402
3,328

6,596
8,623
435

_______________________________________________________________________________________________________________________________
45
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Australia

193
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,543
2,433
....
2,433
3,109
984
....
852
132
855
....
855
44,868
22,287
21,033
7,482
13,551
1,254
19,966
5,335
4,736
599
14,632
2,615
....
2,563
52
....
....

7,694
3,122
....
3,122
4,572
1,442
....
1,273
170
1,091
....
1,091
54,967
24,990
23,194
10,359
12,834
1,797
26,107
6,980
6,168
812
19,127
3,869
....
3,822
47
....
....

11,970
4,736
....
4,736
7,234
1,983
....
1,748
235
1,184
....
1,184
73,610
33,706
30,297
11,533
18,764
3,408
35,373
8,818
7,863
955
26,555
4,532
....
4,457
74
....
....

16,132
7,258
....
7,258
8,874
1,998
....
1,750
248
823
....
823
76,506
35,047
31,315
10,451
20,865
3,731
36,980
8,171
7,312
858
28,810
4,480
....
4,396
84
....
....

13,802
6,821
....
6,821
6,981
1,270
....
1,148
122
481
....
481
63,338
25,828
22,701
5,434
17,266
3,127
34,616
8,685
7,444
1,241
25,931
2,894
....
2,800
95
....
....

16,829
7,776
....
7,776
9,053
1,308
....
1,189
119
328
....
328
81,532
38,693
34,449
6,708
27,740
4,245
40,501
11,349
9,488
1,861
29,152
2,337
....
2,216
121
....
....

19,679
9,841
1
9,840
9,838
1,714
....
1,574
139
360
....
360
90,171
43,602
37,851
9,372
28,479
5,751
43,459
13,537
10,737
2,799
29,922
3,110
....
2,962
148
....
....

....
....
....
....
....
....
....
....
....
....
....

329
4,113
954
3,158
....
3,158
4,441
723
3,718
457
3,261

413
4,567
1,363
3,204
....
3,204
4,980
757
4,223
496
3,727

50
5,488
1,814
3,675
....
3,675
5,538
897
4,641
611
4,031

126
5,788
1,746
4,041
....
4,041
5,914
974
4,939
672
4,267

502
5,021
1,294
3,727
....
3,727
5,523
990
4,534
649
3,885

806
5,845
1,465
4,380
....
4,380
6,650
1,152
5,498
822
4,675

579
7,029
1,868
5,161
....
5,161
7,608
1,267
6,341
1,020
5,321

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

175
....
....
....
....
....
....
....
....
....
....
....
....

248
355
1
....
....
....
....
....
105
105
....
105
....

184
26
56
....
....
....
....
....
155
155
....
155
....

334
6
173
....
....
....
....
....
168
168
....
168
....

313
21
16
....
....
....
....
....
318
318
147
172
....

393
66
91
....
....
....
....
....
367
367
....
367
....

566
1
23
....
....
....
....
....
544
544
....
544
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

42,411

41,223

59,478

47,194

44,029

35,515

34,024

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

7,020
31,496
32,595
39,722
....
....
....
7,126
1,098
1,080
19
....

5,806
25,440
16,307
7,560
....
....
....
8,747
9,134
8,458
676
....

29,143
16,162
11,281
2,639
....
....
....
13,920
4,880
2,427
2,454
....

10,400
35,030
30,227
14,043
....
....
....
16,183
4,804
4,765
38
....

11,616
16,323
8,437
975
....
....
....
7,464
7,885
7,207
516
....

7,275
27,083
24,215
13,287
....
....
....
10,929
2,867
4,099
2,599
1,368

51,341
16,297
10,019
2,571
....
....
....
12,590
6,280
4,543
946
792

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
46
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Australia

193
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

24,477
31,027
44,576
44,572
5
....
13,551
6,549
3,093
3,458
....

31,246
15,163
2,330
2,312
18
....
12,834
16,083
12,738
3,346
....

45,305
30,326
11,563
11,549
14
....
18,764
14,979
14,204
774
....

45,431
27,984
7,121
7,022
98
....
20,865
17,446
17,284
161
....

27,938
29,498
12,233
11,685
548
....
17,266
1,560
2,576
4,653
....

34,357
34,997
7,256
7,177
79
....
27,740
640
350
676
386

67,638
50,803
22,324
22,736
411
....
28,479
16,834
9,006
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

33,288
29,055
14,125
....
....
....
....
....
14,930
....
3,706
....
18,635
....
62,343
9,484
....
272
....
9,212
....
52,861
....
33,384
3,363
16,111

53,039
52,116
24,457
....
....
....
....
....
27,658
....
5,193
....
22,465
....
105,155
13,840
....
2,489
....
16,329
....
91,314
....
59,171
215
32,359

23,763
84,072
50,651
....
....
....
....
....
33,423
....
5,017
....
28,406
....
60,309
13,855
....
526
....
14,381
....
46,454
....
6,575
7,744
32,135

32,347
4,884
4,771
....
....
....
....
....
112
....
855
1,773
1,029
....
27,463
19,414
....
4,414
....
15,000
....
8,048
....
4,604
607
2,839

74,534
71,578
39,137
....
....
....
....
....
32,440
....
3,230
9,970
19,240
....
146,112
33,296
....
9,885
....
23,410
....
112,815
....
77,939
27,865
7,011

73,255
40,964
18,074
....
....
....
....
....
22,891
....
4,573
3,878
14,441
....
114,220
11,101
....
5,670
....
16,771
....
103,119
....
39,809
50,620
12,687

33,067
37,815
28,131
....
....
....
....
....
9,685
....
901
1,879
12,465
....
70,882
3,308
....
724
....
4,032
....
74,189
....
4,671
54,591
24,268

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

1,401
14,564
15,965

735
11,462
10,726

10,962
266
11,229

2,097
4,492
2,395

6,565
39,021
45,586

1,896
27,045
28,941

28,850
27,793
56,644

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

10,758
3,531
....
3,531
....
1,232
274
2,025

8,635
17,381
....
17,381
....
15,878
548
957

29,914
10,742
....
10,742
....
7,665
283
2,796

6,040
56,417
....
56,417
....
46,990
432
8,995

27,008
27,443
1
27,442
....
27,386
2,111
2,056

42,689
14,939
273
14,666
....
13,567
191
908

16,987
28,726
325
28,401
....
27,375
1,160
2,130

14,289
....
....
14,289
10
1,995
....
12,284

8,747
....
....
8,747
18
7,000
1
1,726

3,287

40,656
....
....
40,656
230
52,994
1
12,568

11,646

62,457
....
....
62,457
26,159
31,581
....
4,715

435
11
4,080
3,656
24,595
29,071
....
8,132

27,749
92
....
27,842
57
22,848
....
5,051

11,739
102
....
11,841
11
14,909
....
3,059

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

7,254
....
14
813
8,055

9,723
....
4
377
10,102

35,147
....
17
106
35,026

3,691
2
14
310
3,395

8,549
....
4,672
423
3,455

430
....
6
29
411

4,546
....
121
1,077
3,589

NET ERRORS AND OMISSIONS.........................

....

508

94

205

86

496

544

576

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

10,479

15

9,976

25,773

23

27,329

34

4,207

158

1,299

8,073

85

4,074

532

30

1,171

10,813

32

194

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
47
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Australia

193
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

Data reported to the IMF on a BPM6 basis


ASSETS.............................................................. 80999S A AA
. . . . 552,086 740,156 956,643
Direct investment............................................. 8A9999 A AA
. . . . 208,901 266,963 339,618
Equity and investment fund shares................. 8AA000 A AA
. . . . 184,710 231,174 294,874
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2008

2009

2010

2011

763,262 1,049,492 1,245,471 1,227,899


240,803 343,862 414,272 382,181
199,788 289,504 353,032 315,132
....
....
....
....
....
....
....
....
....
36
13
9
41,016
54,358
61,241
67,050
27,297
37,402
42,800
46,938
13,719
14,455
14,094
14,994
....
2,501
4,347
5,119
255,921 385,514 461,986 451,343
157,578 238,680 280,057 274,496
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
98,342 146,833 181,929 176,846
....
....
....
....
11,370
15,982
22,562
17,505
1,613
12,642
16,776
14,363
85,359 118,210 142,590 144,979
....
....
....
....
86,949
80,771 101,282 101,038
146,666 197,602 225,662 246,512
....
84
312
572
146,666 197,518 225,350 245,940
....
....
....
....
112,789 159,423 181,054 196,964
7,014
10,123
10,751
11,693
26,864
27,972
33,544
33,344

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
24,191
12,630
11,561
....
198,466
135,364
....
....
....
....
....
63,102
....
7,043
....
56,058
....
25,596
75,868
....
75,868
....
48,084
5,895
21,889

....
....
....
35,790
22,423
13,367
....
278,810
185,432
....
....
....
....
....
93,377
....
11,882
....
81,495
....
38,955
100,348
....
100,348
....
69,126
6,837
24,386

....
....
....
44,745
27,453
17,292
....
395,806
263,672
....
....
....
....
....
132,133
....
16,814
....
115,319
....
70,858
123,454
....
123,454
....
86,124
7,433
29,896

43,257
1,316
193
776
40,972

55,080
1,631
200
428
52,825

26,908
2,140
193
339
24,240

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

934,283 1,200,958 1,517,297 1,251,748 1,742,457 2,034,638 2,097,692


242,166 296,565 386,252 306,175 428,553 515,949 554,964
181,399 215,272 279,453 197,920 298,717 372,685 395,539
181,012 214,802 279,039 197,887 297,756 370,993 394,162
387
470
414
33
757
1,584
1,296
....
....
....
....
204
109
80
60,768
81,294 106,799 108,254 129,837 143,263 159,427
48,542
64,657
87,743
90,431
91,965 101,964 110,762
12,226
16,636
19,056
17,823
14,696
14,755
18,378
....
....
....
....
23,177
26,545
30,286
541,070 723,297 872,844 647,007 990,097 1,173,239 1,188,283
178,806 248,052 320,834 169,865 331,863 389,982 318,263
....
....
....
....
....
....
....
40,455
48,299
50,757
28,473
69,285
66,714
62,343
....
....
....
....
....
....
....
138,352 199,753 270,077 141,391 262,579 323,268 255,920
....
....
....
....
....
....
....
362,264 475,245 552,009 477,142 658,233 783,257 870,021
....
....
....
....
....
....
....
203,091 280,244 309,174 271,095 383,710 425,785 418,918
25,315
25,879
35,206
31,544
66,548 129,683 191,203
133,858 169,122 207,628 174,504 207,975 227,789 259,900

357

91,525

426

120,200

975

153,239

825

32,922
2,233
174
649
29,867

119,399

1,155

41,743
2,792
4,856
1,092
33,002

128,031

1,417

42,268
3,609
4,764
1,102
32,794

133,868

1,524

46,825
4,042
4,633
2,147
36,002

147,991

_______________________________________________________________________________________________________________________________
48
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Australia

193
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Australian dollars per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

26,236
124,811
....
673
124,138
93
90,016
59
33,969

41,698
139,398
....
708
138,690
119
100,308
68
38,195

67,000
191,201
....
744
190,457
373
159,171
71
30,844

80,801
217,765
....
725
217,040
24,466
162,363
55
30,158

70,773
253,034
123
4,833
248,078
359
217,670
72
29,976

102,392
243,057
104
4,748
238,205
457
208,594
81
29,073

94,926
259,518
....
4,733
254,785
431
224,418
81
29,855

20,389

24,926

14,943

12,350

10,682

3,130

3,271

. . . . 382,197 460,802 560,653 488,485 692,965 789,167 869,794


....

1.3630

1.2637

1.1343

1.4434

1.1150

.9840

.9846

_______________________________________________________________________________________________________________________________
49
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Austria

122
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
6,245
9,042
13,189
20,127
10,291
13,149

2,266

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

114,099
113,144

129,691
126,220

157,132
151,508

173,825
170,238

131,757
132,388

145,518
145,505

169,893
175,433

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

44,960
35,806

46,831
37,837

56,950
45,587

65,710
49,055

55,646
40,965

53,328
39,867

59,243
45,269

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

955

3,471

5,625

3,587

631

14

5,540

10,109

12,465

16,987

20,241

14,050

13,475

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

25,914
27,957

8,066

30,881
32,700

10,645

42,909
45,107

14,789

44,478
42,093

22,627

34,625
36,214

12,460

39,344
37,251

15,568

41,148
44,630

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

3,949
5,770

4,274
5,877

5,001
6,601

5,411
7,911

4,877
7,046

4,660
7,078

5,132
7,817

B. Capital Account........................................... 20999F B AA

....

237

1,010

274

70

161

277

552

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

739
976

585
1,595

1,027
752

726
796

1,103
942

1,381
1,105

636
1,188

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

4,951

6,008

8,032

13,464

20,057

10,452

....

917

10,356

13,508

22,792

14,465

3,434

4,479

....
....
....

81,482
80,790
692

9,373
8,387
986

75,721
73,512
2,209

28,056
23,818
4,238

15,028
12,741
2,287

15,334
19,372
4,038

26,201
22,660
3,541

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

81,288
83,446
2,158

4,831
443
4,388

68,111
44,470
23,641

5,122
6,068
946

14,643
4,831
9,812

25,304
28,077
2,772

15,734
17,645
1,911

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

44,004
5,690
38,314

32,817
8,126
24,692

16,078
582
15,496

11,996
8,126
3,870

4,788
6,167
1,379

8,821
9,930
1,108

11,688
1,456
10,232

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

30,525
5,999
24,526

47,683
10,521
37,162

46,373
3,625
42,748

25,298
6,808
32,106

5,858
284
6,142

1,059
355
704

9,118
483
8,635

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

153
....
....

1,217
....
....

913
....
....

635
....
....

790
....
....

178
....
....

1,057
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

30,098
....
30,098

68,267
....
68,267

51,646
....
51,646

58,927
....
58,927

30,363
....
30,363

22,965
....
22,965

33,165
....
33,165

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

42,701
....
42,701

5,091

48,805
....
48,805

2,323

16,366
....
16,366

21,141
....
21,141

34,586
....
34,586

6,371
....
6,371

17,289
....
17,289

D. Net Errors and Omissions............................. 40999S N AA

....

5,841

E. Reserves and Related Items.......................... 4Z999S N AA

....

750

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

4,013

13,426

8,434

9,992

1,715

44

2,735

2,764

1,463

2,569

1,895

2,962

8,557

3,768

861

2,525

840

1,050

1,435

1,005

750
....
....

861
....
....

2,525
....
....

840
....
....

1,050
....
....

1,435
....
....

1,005
....
....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
50
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Austria

122
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
6,245
9,042
13,189
20,127
10,291
13,149
GOODS AND SERVICES..................................... 1Z9999 B XN
....
10,109
12,465
16,987
20,241
14,050
13,475
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

159,059
148,950
955
114,099
111,416
2,523
160
113,144
113,119
25
9,154
44,960
35,806
617
607
4,276
4,468
8,969

176,522
164,057
3,471
129,691
126,663
2,859
169
126,220
126,164
56
8,994
46,831
37,837
767
905
3,315
3,372
10,740

214,082
197,095
5,625
157,132
153,354
3,488
290
151,508
151,434
74
11,363
56,950
45,587
825
1,015
5,305
5,441
12,082

239,535
219,293
3,587
173,825
168,895
4,088
843
170,238
170,142
96
16,654
65,710
49,055
1,014
1,189
5,055
4,972
15,074

187,403
173,353
631
131,757
127,491
3,295
971
132,388
132,185
203
14,680
55,646
40,965
999
620
3,410
3,275
12,474

198,846
185,372
14
145,518
140,811
3,903
805
145,505
145,228
277
13,461
53,328
39,867
507
683
2,018
2,222
13,380

2,266
8,434
229,135
220,702
5,540
169,893
163,771
4,664
1,458
175,433
175,059
373
13,973
59,243
45,269
655
794
2,208
2,254
15,012

8,661

10,472

12,139

13,726

10,974

12,424

14,924

16,243
2,881
13,362
9,316
1,957
7,359
14,854
985
797
913
391
2,244
8,901
236
388
12,753
840
913
745
1,334
1,773
6,314
728
106

16,510
3,053
13,458
9,626
1,958
7,669
15,498
969
754
804
541
2,473
9,292
229
437
13,462
773
1,100
613
1,328
1,942
6,800
798
107

18,559
3,642
14,916
10,561
2,249
8,312
20,179
1,382
1,315
1,494
742
3,496
10,874
274
600
16,431
1,212
1,730
723
1,481
2,756
7,560
845
124

21,630
3,705
17,926
11,432
2,344
9,087
22,936
1,710
1,290
1,565
905
3,917
12,572
365
612
17,737
1,532
1,078
738
1,598
3,071
8,637
955
127

19,159
3,021
16,137
10,813
1,773
9,040
19,604
1,411
1,187
1,055
751
3,108
11,159
309
624
15,283
1,107
1,147
402
1,280
2,518
7,834
876
119

18,758
2,877
15,881
10,125
1,728
8,397
18,666
1,174
1,149
1,125
677
2,925
10,744
311
561
14,413
898
976
413
1,315
2,404
7,302
991
114

19,778
2,940
16,838
10,548
1,880
8,668
21,590
764
924
1,286
780
3,514
13,429
299
594
16,749
791
1,067
446
1,438
2,615
9,242
1,023
127

....
....
....
....
....
....
....
....
....
....
....

2,043
25,914
27,957
1,917
1,316
23,997
8,770
8,704
4,893
3,811
66

1,820
30,881
32,700
1,880
1,406
29,000
10,893
9,872
4,160
5,712
1,022

2,198
42,909
45,107
2,172
1,594
40,737
15,943
14,712
6,187
8,525
1,231

2,386
44,478
42,093
2,398
1,913
42,080
12,923
11,075
8,938
2,137
1,848

1,589
34,625
36,214
2,186
1,826
32,438
10,874
9,691
9,789
98
1,183

2,093
39,344
37,251
2,071
2,107
37,273
16,734
15,458
10,215
5,242
1,276

3,482
41,148
44,630
2,240
2,453
38,908
16,523
14,965
10,933
4,032
1,558

2,228
5,846
895
1,761
6,230
669

2,376
6,850
1,514
2,095
7,215
1,162

2,529
8,304
1,249

2,264
8,999
876

2,716
10,945
1,414

2,561
10,136
1,029

2,061
8,707
1,706

1,954
7,896
1,124

2,222
9,414
1,743

2,088
9,101
1,235

2,675
10,360
1,977

2,372
10,959
1,592

_______________________________________________________________________________________________________________________________
51
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Austria

122
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

9,425
798
....
....
8,627
5,802
....
5,802
....
....
....
....
26,641
9,233
9,217
5,070
4,147
16
12,178
740
....
....
11,438
5,230
....
5,230
....
....
....

11,153
879
....
....
10,274
6,954
....
6,954
....
....
....
....
31,295
9,962
8,881
5,571
3,311
1,080
13,951
1,118
....
....
12,833
7,382
....
7,382
....
....
....

14,521
1,390
....
....
13,131
10,273
....
10,273
....
....
....
....
43,513
13,902
11,748
6,109
5,638
2,154
18,717
1,724
....
....
16,993
10,893
....
10,893
....
....
....

15,154
1,233
....
....
13,921
14,004
....
14,004
....
....
....
....
40,180
6,406
3,429
7,194
3,765
2,977
20,776
1,968
....
....
18,808
12,998
....
12,998
....
....
....

11,680
1,320
....
....
10,360
9,884
....
9,884
....
....
....
....
34,387
9,581
6,946
9,056
2,110
2,635
17,401
1,530
....
....
15,871
7,406
....
7,406
....
....
....

11,424
1,771
....
....
9,653
9,116
....
9,116
....
....
....
....
35,144
12,616
11,037
7,119
3,919
1,579
15,643
1,332
....
....
14,311
6,884
....
6,884
....
....
....

12,277
2,276
....
....
10,001
10,108
....
10,108
....
....
....
....
42,177
16,550
14,934
8,203
6,732
1,615
17,012
1,556
....
....
15,456
8,615
....
8,615
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,821
3,949
880
3,069
398
2,672
5,770
3,291
2,479
804
1,675

1,603
4,274
864
3,410
418
2,992
5,877
3,310
2,566
839
1,728

1,600
5,001
892
4,109
467
3,642
6,601
3,504
3,098
1,058
2,040

2,500
5,411
1,012
4,400
519
3,881
7,911
3,892
4,019
1,209
2,809

2,169
4,877
1,040
3,837
508
3,328
7,046
3,972
3,074
1,070
2,004

2,419
4,660
1,081
3,578
458
3,120
7,078
4,208
2,871
1,016
1,855

2,685
5,132
1,203
3,929
434
3,495
7,817
4,632
3,185
1,042
2,143

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

237
55
70
684
175
....
175
509
906
3
....
3
903

1,010
99
272
486
124
....
124
361
1,323
879
....
879
443

274
116
299
911
533
....
533
378
454
....
....
....
454

70
130
342
596
196
....
196
400
454
....
....
....
454

161
109
485
995
145
....
145
849
457
....
....
....
457

277
73
296
1,308
116
....
116
1,192
809
327
....
327
481

552
106
331
530
112
....
112
417
857
315
....
315
541

FINANCIAL ACCOUNT........................................ 30999S N AA

....

168

9,495

16,033

21,952

13,414

4,869

5,483

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

194
81,482
80,790
76,979
76,979
....
....
3,811
692
726
34
....

4,542
9,373
8,387
2,675
2,675
....
....
5,712
986
703
283
....

7,610
75,721
73,512
64,987
64,987
....
....
8,525
2,209
706
1,503
....

22,934
28,056
23,818
21,681
21,681
....
....
2,137
4,238
4,828
590
....

385
15,028
12,741
12,839
12,839
....
....
98
2,287
1,668
620
....

9,971
15,334
19,372
24,614
24,614
....
....
5,242
4,038
2,802
1,236
....

10,467
26,201
22,660
18,627
18,627
....
....
4,032
3,541
1,240
4,781
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
52
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Austria

122
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

81,288
83,446
79,299
79,299
....
....
4,147
2,158
1,832
327
....

4,831
443
2,868
2,868
....
....
3,311
4,388
3,853
535
....

68,111
44,470
38,832
38,832
....
....
5,638
23,641
21,005
2,636
....

5,122
6,068
9,833
9,833
....
....
3,765
946
56
890
....

14,643
4,831
6,941
6,941
....
....
2,110
9,812
7,311
2,501
....

25,304
28,077
31,995
31,995
....
....
3,919
2,772
2,235
537
....

15,734
17,645
10,913
10,913
....
....
6,732
1,911
2,059
3,970
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

13,479
44,004
5,690
176
543
33
4,938
....
38,314
210
16,935
976
20,193
....
30,525
5,999
....
2,832
....
8,831
....
24,526
....
14,068
5,843
4,615
....

14,865
32,817
8,126
17
428
124
7,590
....
24,692
1,456
14,120
574
12,601
....
47,683
10,521
....
2,290
....
8,232
....
37,162
....
27,677
8,638
847
....

30,295
16,078
582
129
725
35
1,144
....
15,496
3,176
12,947
1,061
435
....
46,373
3,625
....
755
....
4,380
....
42,748
....
28,511
9,158
5,079
....

37,294
11,996
8,126
346
749
22
7,745
....
3,870
345
2,905
128
1,438
....
25,298
6,808
....
1,340
....
5,469
....
32,106
....
14,146
16,330
1,629
....

10,646
4,788
6,167
83
535
21
6,641
....
1,379
4,336
7,333
5
1,623
....
5,858
284
....
1,577
....
1,293
....
6,142
....
12,297
1,573
4,582
....

9,880
8,821
9,930
665
154
67
9,352
....
1,108
9,107
10,506
199
490
....
1,059
355
....
647
....
1,002
....
704
....
12,907
9,673
2,530
....

20,806
11,688
1,456
1,486
184
23
2,735
....
10,232
868
6,047
402
5,455
....
9,118
483
....
20
....
462
....
8,635
....
7,258
9,124
6,770
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

153
....
....

1,217
....
....

913
....
....

635
....
....

790
....
....

178
....
....

1,057
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

12,602
30,098
....
30,098
29
27,618
135
2,317
....
42,701
....
....
42,701
8,774
25,852
5,032
3,042
....

19,462
68,267
....
68,267
294
45,159
640
23,453
....
48,805
....
....
48,805
7,406
22,550
668
18,181
....

35,280
51,646
....
51,646
1,566
62,272
446
9,506
....
16,366
....
....
16,366
5,959
18,971
1,587
10,150
....

37,786
58,927
....
58,927
695
47,318
10,144
2,161
....
21,141
....
....
21,141
12,475
1,527
1,643
8,782
....

4,223
30,363
....
30,363
4,818
28,094
8,537
1,450
....
34,586
....
2,433
37,019
22,104
12,547
1,916
4,285
....

16,594
22,965
....
22,965
10,713
33,987
1,060
1,369
....
6,371
....
....
6,371
11,266
17,800
1,100
937
....

15,875
33,165
....
33,165
11,119
10,366
5,968
5,711
....
17,289
....
....
17,289
9,716
8,102
2,020
2,548
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

750
70
1
477
202

861
219
36
163
515

2,525
187
32
61
2,741

840
....
78
168
1,085

1,050
....
2,425
214
3,689

1,435
....
5
142
1,297

1,005
....
91
612
484

NET ERRORS AND OMISSIONS.........................

....

5,841

1,463

2,569

1,895

2,962

8,557

3,768

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
53
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Austria

122
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 651,030 853,539 1,089,038 1,044,768 1,103,480 1,023,507 1,035,976
Direct investment............................................. 8A9999 A AA
. . . . 146,925 184,116 270,722 273,606 290,350 267,816 290,867
Equity and investment fund shares................. 8AA000 A AA
. . . . 139,699 175,597 261,848 260,685 283,682 257,741 279,131
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
7,226
....
....
....
284,228
63,611
2,072
3,469
125
57,945
....
220,618
9,122
92,773
448
118,275
....
....
208,044
....
208,044
2,284
172,499
2,754
22,445
....
11,832
4,989
147
394
6,302

....
....
....
8,519
....
....
....
352,401
87,890
2,322
4,481
171
80,915
....
264,511
8,444
116,997
743
138,327
....
4,632
299,479
....
299,479
3,244
235,979
2,308
47,247
....
12,911
5,901
190
247
6,573

....
....
....
8,874
....
....
....
404,424
100,308
2,758
4,482
199
92,869
....
304,116
12,842
139,800
1,156
150,318
....
9,969
385,704
....
385,704
2,583
323,862
3,947
42,908
....
18,219
7,530
233
195
10,261

....
....
....
12,921
....
....
....
320,767
54,174
2,888
2,643
136
48,507
....
266,593
12,621
122,846
1,117
130,010
....
19,775
413,919
....
413,919
1,795
342,534
13,514
43,796
....
16,699
7,787
306
362
8,245

....
....
....
6,668
....
....
....
358,148
74,252
3,115
2,427
131
68,579
....
283,896
17,688
121,272
1,136
143,800
....
16,344
420,588
....
420,588
26,297
325,287
5,421
50,995
....
18,051
9,938
2,744
589
4,780

....
....
....
10,075
....
....
....
353,062
86,394
3,609
2,156
208
80,421
....
266,668
25,096
105,905
903
134,763
....
14,540
365,805
....
365,805
35,187
273,108
4,211
41,756
....
22,283
12,695
2,691
723
6,173

....
....
....
11,736
....
....
....
316,857
73,324
4,806
1,737
159
66,622
....
243,532
24,014
92,776
1,214
125,529
....
15,941
387,151
....
387,151
44,579
275,636
9,425
44,629
....
25,161
14,174
2,594
1,322
7,071

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

714,115
154,666
148,295
....
....
....
6,371
....
....
....
350,605
59,236
....
7,628
....
51,608
....
291,369
....
127,323
138,448
25,599
....

923,675 1,162,732 1,111,621 1,137,909 1,057,295 1,047,677


192,199 283,953 269,014 298,611 258,786 252,903
180,770 246,375 233,446 256,657 222,553 238,966
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
11,429
37,578
35,569
41,954
36,233
13,937
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
447,308 535,240 496,746 519,035 505,205 488,745
92,957 105,127
46,805
60,309
62,714
48,016
....
....
....
....
....
....
13,970
13,061
5,209
7,573
10,795
5,108
....
....
....
....
....
....
78,987
92,066
41,596
52,735
51,920
42,908
....
....
....
....
....
....
354,351 430,113 449,941 458,726 442,491 440,729
....
....
....
....
....
....
168,849 213,797 220,740 213,092 194,671 182,119
157,798 180,942 194,272 202,949 204,308 210,464
27,704
35,374
34,928
42,685
43,513
48,146
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
54
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Austria

122
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
208,843
....
256
208,587
18,533
148,969
11,720
24,375
....

4,651
279,517
....
269
279,248
28,544
184,552
13,725
44,454
....

11,110
332,428
....
283
332,145
38,424
220,205
17,727
45,752
....

14,952
330,908
....
276
330,632
49,687
202,601
15,282
51,714
....

10,398
309,865
....
2,722
307,143
28,289
197,038
17,668
51,184
....

10,966
282,337
....
2,674
279,663
36,709
173,737
17,699
38,902
....

12,278
293,750
....
2,666
291,085
44,765
179,508
19,090
35,952
....

....

63,085

70,137

73,694

66,853

34,429

33,788

11,701

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
55
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Azerbaijan, Republic of

912
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
167.3 3,707.6 9,018.9 16,452.8 10,174.9 15,040.4 17,144.9
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

7,398.1
4,151.6

12,749.1
4,953.9

7,795.2

15,023.0

22,915.5

14,544.9

19,434.2

24,128.4

741.5
2,658.8

965.3
2,938.6

1,455.4
3,385.2

1,668.6
3,915.7

2,100.9
3,673.5

2,493.6
3,929.5

3,042.5
5,839.5

3,246.4

20,899.8
5,876.8

30,220.6
7,305.0

20,658.4
6,113.5

25,741.1
6,306.9

33,996.3
9,867.9

1,329.1

5,821.9

13,093.3

20,668.4

12,972.3

17,998.4

21,331.4

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

201.8
1,847.4

316.6

280.0
2,960.6

3,141.3

327.8
5,407.2

8,013.9

595.1
5,861.2

15,402.4

551.4
4,070.6

9,453.2

675.5
4,142.6

14,531.3

1,018.7
5,878.6

16,471.6

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

626.2
142.3

748.2
182.0

1,313.4
308.4

1,500.1
449.7

1,292.4
570.7

1,420.4
911.3

1,882.3
1,209.0

B. Capital Account........................................... 20999F B AA

....

40.9

3.8

2.8

10.6

5.4

14.3

18.7

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

70.2
29.3

25.0
28.9

28.0
30.8

36.0
25.3

19.1
13.7

22.1
7.8

36.1
17.4

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

208.2

3,703.8

9,016.1

....

78.0

2,105.3

6,874.1 13,158.9

9,682.0 12,695.0 13,547.1

....
....
....

4,017.2
4,017.2
....

5,775.4
5,774.9
.6

9,628.8
9,622.0
6.8

4,527.6
4,352.0
175.7

2,752.8
2,748.6
4.2

3,021.8
3,021.8
....

3,552.5
3,552.5
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

4,476.4
4,476.4
....

4,486.0
4,303.4
182.5

4,594.2
4,079.1
515.1

3,986.8
3,520.8
466.0

2,900.0
2,524.7
375.4

3,353.0
3,353.0
....

4,485.1
4,485.1
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

47.8
....
47.8

34.4
3.1
31.3

110.9
11.9
99.0

320.8
21.4
299.5

84.3
3.5
80.8

163.3
9.8
173.1

344.8
1.2
343.6

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

78.3
....
78.3

22.3
.8
21.6

84.5
2.0
82.5

26.6
....
26.6

54.5
....
54.5

24.5
.6
23.9

27.9
.1
27.9

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

1,365.3
....
1,365.3

1,416.7
....
1,416.7

2,687.8
....
2,687.8

13,197.5
....
13,197.5

9,326.4
....
9,326.4

14,698.0
....
14,698.0

15,487.8
....
15,487.8

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

953.7
....
953.7

286.2

612.9
....
612.9

874.6
....
874.6

926.9
....
926.9

364.0
....
364.0

1,810.6
....
1,810.6

1,325.0
....
1,325.0

D. Net Errors and Omissions............................. 40999S N AA

....

125.7

255.9

360.6

845.1 1,461.2

989.7

569.0

E. Reserves and Related Items.......................... 4Z999S N AA

....

160.5

1,342.6

1,781.3

2,459.5

963.0

1,370.0

4,185.5

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

132.0
28.5
....

1,305.5
37.1
....

1,744.8
36.5
....

2,437.7
21.8
....

981.5
18.5
....

1,355.4
14.6
....

4,168.3
17.2
....

Conversion rates: manat per U.S. dollar........... RFZ F B

....

.9454

.8934

.8581

.8216

.8038

.8027

.7897

1,598.4

2,142.0

16,463.4

3,304.6

10,180.2

498.2

15,054.7

2,359.7

17,163.6

3,616.5

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
56
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Azerbaijan, Republic of

912
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
167.3 3,707.6 9,018.9 16,452.8 10,174.9 15,040.4 17,144.9
GOODS AND SERVICES..................................... 1Z9999 B XN
....
1,329.1 5,821.9 13,093.3 20,668.4 12,972.3 17,998.4 21,331.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
8,139.5 13,714.4 22,355.2 31,889.1 22,759.3 28,234.8 37,038.9
....
6,810.4
7,892.5
9,262.0 11,220.7
9,786.9 10,236.4 15,707.4
....
3,246.4 7,795.2 15,023.0 22,915.5 14,544.9 19,434.2 24,128.4
....
7,398.1 12,749.1 20,899.8 30,220.6 20,658.4 25,741.1 33,996.3
....
7,398.1 12,754.4 20,901.7 30,220.6 20,648.6 25,659.3 33,905.6
....
....
5.3
1.9
....
....
....
....
....
....
....
....
....
9.8
81.8
90.7
....
4,151.6 4,953.9 5,876.8 7,305.0 6,113.5 6,306.9 9,867.9
....
4,151.6
4,953.9
5,876.8
7,305.0
6,113.5
6,306.9
9,867.9
....
....
....
....
....
....
....
....
. . . . 1,917.3 1,973.3 1,929.8 2,247.1 1,572.6 1,435.8 2,797.0
....
741.5
965.3
1,455.4
1,668.6
2,100.9
2,493.6
3,042.5
....
2,658.8
2,938.6
3,385.2
3,915.7
3,673.5
3,929.5
5,839.5
....
49.3
14.5
181.2
97.4
281.7
277.4
208.6
....
.9
2.8
.3
.6
....
....
....
....
9.2
11.7
27.6
23.3
40.3
102.4
102.2
....
5.0
78.6
9.2
25.1
284.0
83.5
110.8
....
239.2
437.8
638.2
793.9
662.5
644.3
768.8
....
21.8
83.9
139.4
191.5
166.2
134.7
213.3
....
143.8
208.9
320.9
375.5
294.2
335.7
397.3
....
73.6
145.0
177.8
227.0
202.0
173.9
158.2
....
378.9
519.3
557.0
682.5
804.3
801.7
960.8
24.0
54.9
116.8
113.1
82.3
74.3
89.3
....
....
270.1
361.4
340.1
446.7
591.3
631.7
662.9
....
84.9
103.0
100.1
122.7
130.6
95.7
208.5
....
77.7
116.9
177.8
191.2
378.7
657.4 1,287.3
....
16.3
29.7
59.0
74.2
156.2
208.0
464.7
....
61.3
87.3
118.7
117.1
222.4
449.4
822.6
....
164.0
201.4
263.6
342.8
405.6
781.5 1,689.0
....
18.5
22.2
18.2
27.1
61.3
194.3
636.4
....
145.5
179.2
245.4
315.7
344.3
587.2
1,052.7
....
366.1
384.4
430.6
562.7
737.7
812.3
675.6
....
9.4
45.8
45.8
109.1
174.3
152.7
112.8
....
7.8
13.7
7.8
4.9
4.8
11.4
11.8
....
.1
1.4
.1
.1
.3
.3
.6
....
....
.1
....
....
1.8
.1
....
....
35.7
3.6
4.7
55.4
81.0
84.8
74.6
....
251.7
218.4
293.3
296.5
367.7
416.8
355.6
....
3.0
3.0
3.2
3.9
27.3
49.0
12.1
....
58.3
98.4
75.6
92.9
80.5
97.1
108.1
....
2,110.1 2,136.5 2,555.1 2,865.9 2,179.6 2,262.8 3,078.9
....
1,498.8
1,300.3
1,471.1
1,440.8
773.7
325.3
513.7
....
40.6
70.9
66.5
52.8
73.4
110.9
142.3
....
10.4
48.0
121.7
12.5
15.4
8.9
14.7
....
....
1.3
4.7
4.8
19.2
16.5
18.4
....
12.5
8.0
9.3
39.5
62.7
73.2
121.2
....
514.9
623.7
822.3
1,245.5
1,142.7
1,595.7
2,156.6
....
5.0
5.0
5.4
6.6
31.8
48.2
13.3
....
27.9
79.4
54.1
63.4
60.8
84.0
98.7
. . . . 1,645.6 2,680.6 5,079.4 5,266.0 3,519.2 3,467.1 4,859.8
....
201.8
280.0
327.8
595.1
551.4
675.5
1,018.7
....
1,847.4
2,960.6
5,407.2
5,861.2
4,070.6
4,142.6
5,878.6
....
133.0
127.9
75.6
102.3
72.9
72.5
121.4
....
112.2
124.9
131.1
168.3
115.7
113.6
141.3
....
68.8
152.1
252.2
492.8
478.5
603.1
897.3
....
.4
.5
.1
10.4
12.1
31.1
138.8
....
.4
.5
.1
10.4
12.1
31.1
138.8
....
....
....
.1
10.4
12.1
31.1
138.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
57
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Azerbaijan, Republic of

912
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
68.4
....
68.4
....
....
....
....
1,735.2
1,581.7
....
....
....
....
....
....
....
....
....
153.5
....
153.5
....
....
....

2.0
....
....
....
2.0
149.6
....
149.6
....
....
....
....
2,835.7
2,624.4
2,624.4
2,493.0
131.3
....
....
....
....
....
....
211.4
....
211.4
....
....
....

6.5
....
....
....
6.5
245.6
....
245.6
....
....
....
....
5,276.1
4,995.3
4,995.3
4,920.9
74.4
....
4.2
....
....
....
4.2
276.6
....
276.6
....
....
....

22.1
....
....
....
22.1
460.3
....
460.3
....
....
....
....
5,692.8
5,401.4
5,401.4
5,357.3
44.1
....
10.9
....
....
....
10.9
280.5
....
280.5
....
....
....

231.0
....
....
....
231.0
235.4
....
235.4
....
....
....
....
3,954.9
3,663.7
3,663.7
3,615.2
48.5
....
6.9
....
....
....
6.9
284.3
....
284.3
....
....
....

514.5
....
....
....
514.5
57.5
....
57.5
....
....
....
....
4,029.1
3,815.0
3,815.0
3,622.9
192.1
....
2.0
....
....
....
2.0
212.0
....
212.0
....
....
....

656.3
....
....
....
656.3
102.2
....
102.2
....
....
....
....
5,737.2
5,488.4
5,488.4
5,287.5
200.9
....
.2
....
....
....
.2
248.6
....
248.6
....
....
....

....
....
....
....
....
....
....
....
....
....
....

483.9
626.2
122.3
503.9
490.2
13.6
142.3
7.3
135.0
127.2
7.9

566.3
748.2
69.2
679.0
662.3
16.7
182.0
7.2
174.8
149.5
25.3

1,005.0
1,313.4
103.2
1,210.2
1,192.1
18.1
308.4
9.0
299.4
273.4
26.0

1,050.5
1,500.1
67.7
1,432.4
1,416.1
16.3
449.7
16.3
433.4
399.0
34.4

721.7
1,292.4
65.4
1,226.9
1,181.7
45.2
570.7
20.3
550.4
522.4
28.0

509.1
1,420.4
70.8
1,349.7
1,337.8
11.8
911.3
31.9
879.4
840.0
39.4

673.3
1,882.3
83.5
1,798.8
1,771.7
27.1
1,209.0
33.2
1,175.8
1,138.3
37.5

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

40.9
....
....
70.2
....
....
....
70.2
29.3
.1
....
....
29.2

3.8
2.7
2.3
22.3
....
....
....
22.3
26.6
.1
....
....
26.4

2.8
8.5
....
19.5
....
....
....
19.5
30.8
....
....
....
30.8

10.6
....
....
36.0
....
....
....
36.0
25.3
....
....
....
25.3

5.4
....
....
19.1
....
....
....
19.1
13.7
....
....
....
13.7

14.3
....
....
22.1
....
....
....
22.1
7.8
....
....
....
7.8

18.7
14.3
13.4
21.8
....
....
....
21.8
4.0
....
....
....
4.0

FINANCIAL ACCOUNT........................................ 30999S N AA

....

82.5

3,447.9

8,655.4 15,618.4

8,719.1 14,065.0 17,732.6

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

459.2
4,017.2
4,017.2
4,017.2
1,220.8
2,796.5
....
....
....
....
....
....

1,289.5
5,775.4
5,774.9
5,774.9
705.5
5,069.4
....
....
.6
....
.6
....

5,034.5
9,628.8
9,622.0
9,622.0
516.9
9,105.1
....
....
6.8
3.7
3.1
....

147.2
2,752.8
2,748.6
2,748.6
321.9
2,426.7
....
....
4.2
4.2
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

540.8
4,527.6
4,352.0
4,352.0
380.2
3,971.7
....
....
175.7
175.6
.1
....

331.2
3,021.8
3,021.8
3,021.8
235.7
2,786.2
....
....
....
....
....
....

932.6
3,552.5
3,552.5
3,552.5
554.0
2,998.6
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
58
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Azerbaijan, Republic of

912
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

4,476.4
4,476.4
4,476.4
4,476.4
....
....
....
....
....
....
....

4,486.0
4,303.4
4,172.1
4,172.1
....
....
131.3
182.5
182.5
....
....

4,594.2
4,079.1
4,004.8
4,003.9
.9
....
74.4
515.1
281.0
....
....

3,986.8
3,520.8
3,476.7
3,476.5
.2
....
44.1
466.0
466.0
....
....

2,900.0
2,524.7
2,476.1
2,476.1
....
....
48.5
375.4
375.4
....
....

3,353.0
3,353.0
3,160.9
3,157.2
3.7
....
192.1
....
....
....
....

4,485.1
4,485.1
4,284.3
4,263.0
21.2
....
200.9
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

30.5
47.8
....
....
....
....
....
....
47.8
....
....
....
....
....
78.3
....
....
....
....
....
....
78.3
....
78.3
....
....
....

12.0
34.4
3.1
....
....
3.0
.1
....
31.3
....
31.3
....
....
....
22.3
.8
....
.8
....
....
....
21.6
....
32.1
....
10.5
....

26.4
110.9
11.9
....
....
....
11.9
....
99.0
....
28.6
2.7
67.7
....
84.5
2.0
....
....
....
2.0
....
82.5
....
14.0
62.0
6.6
....

347.4
320.8
21.4
....
....
....
21.4
....
299.5
....
22.0
....
277.4
....
26.6
....
....
....
....
....
....
26.6
....
18.5
35.4
9.7
....

138.8
84.3
3.5
....
....
....
3.5
....
80.8
....
15.5
24.9
90.2
....
54.5
....
....
....
....
....
....
54.5
....
49.5
....
5.1
....

138.8
163.3
9.8
....
....
....
9.8
....
173.1
....
....
....
173.1
....
24.5
.6
....
.6
....
....
....
23.9
....
9.7
....
33.6
....

316.9
344.8
1.2
....
....
1.2
....
....
343.6
....
1.2
.2
342.3
....
27.9
.1
....
....
....
.1
....
27.9
....
24.7
....
3.2
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

440.2
1,365.3
....
1,365.3
....
83.7
475.7
806.0
....
925.1
....
....
925.1
29.5
46.7
37.5
870.4
....

840.9
1,416.7
....
1,416.7
....
58.5
408.7
949.5
....
575.9
....
....
575.9
20.2
336.1
80.5
179.5
....

1,849.7 12,292.5
2,687.8 13,197.5
....
....
2,687.8 13,197.5
....
....
246.9
903.6
1,153.6
9,612.2
1,287.2
2,681.7
....
....
838.1
905.1
....
....
....
....
838.1
905.1
37.9
21.8
742.2
185.2
139.1
166.2
5.2
575.5
....
....

9,708.9 12,902.0 14,180.0


9,326.4 14,698.0 15,487.8
....
....
....
9,326.4 14,698.0 15,487.8
....
....
....
112.5
545.8
182.9
3,672.7
9,103.7
8,190.1
5,541.2
5,048.5
7,114.9
....
....
....
382.5 1,796.0 1,307.8
....
....
....
240.2
....
....
622.8 1,796.0 1,307.8
18.5
14.6
17.2
279.1
732.4
21.8
277.4
456.6
912.1
602.5
621.6
391.1
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

132.0
....
.4
....
131.6

1,305.5
....
1.4
....
1,304.2

1,744.8
....
5.5
.1
1,750.2

2,437.7
....
8.5
....
2,446.2

981.5
....
235.6
.1
1,217.2

1,355.4
....
2.9
....
1,352.5

4,168.3
....
.1
....
4,168.2

NET ERRORS AND OMISSIONS.........................

....

125.7

255.9

360.6

845.1 1,461.2

989.7

569.0

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
59
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Azerbaijan, Republic of

912

Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 14,816.5 23,437.5 36,786.8 55,119.5
....
....
Direct investment............................................. 8A9999 A AA
. . . . 11,045.4 17,647.8 27,275.8 31,802.9
....
....
Equity and investment fund shares................. 8AA000 A AA
. . . . 11,045.4 17,647.8 27,275.8 31,802.9
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

4,910.5
5,465.8
22,365.3 26,337.1
....
....
....
....
....
....
....
....
....
....
229.9
550.7
....
....
....
....
....
....
....
....
....
....
....
....
229.9
550.7
....
....
229.9
550.7
....
....
....
....
....
....
....
....
5,008.0 16,298.6
....
....
5,008.0 16,298.6
....
....
595.9
1,480.0
3,120.7 12,102.7
1,291.4
2,715.9
....
....
4,273.1 6,467.3
....
....
10.1
1.6
.1
.1
4,262.9
6,465.6

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
237.8
.2
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
236.6
.2
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
235.9
.2
....

. . . . 24,165.2 30,504.0 36,155.0 42,516.5


. . . . 20,117.6 24,603.5 29,197.0 33,182.6
. . . . 20,117.6 24,603.5 28,962.9 32,948.8
. . . . 20,117.6 24,603.5 28,962.9 32,948.8
....
....
....
....
....
....
....
....
....
....
....
....
....
234.1
233.8
....
....
....
....
....
....
....
....
234.1
233.8
....
....
....
....
....
....
97.1
119.4
203.9
177.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
97.1
119.4
203.9
177.3
....
....
....
....
....
....
97.1
119.4
203.9
177.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,685.3
7,360.1
....
....
....
....
....
84.6
....
....
....
....
....
....
84.6
....
84.6
....
....
....
....
2,508.8
....
2,508.8
....
287.4
1,394.0
827.4
....
1,177.7
....
13.9
....
1,163.8

4,390.8
13,257.0
....
....
....
....
....
119.0
....
....
....
....
....
....
119.0
....
119.0
....
....
....
....
3,170.4
....
3,170.4
....
349.0
1,868.7
952.7
....
2,500.3
....
15.4
....
2,484.9

_______________________________________________________________________________________________________________________________
60
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Azerbaijan, Republic of

912

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: manat per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
3,950.5
....
....
3,950.5
392.2
101.6
351.9
3,104.8
....

....
5,781.1
....
....
5,781.1
393.3
495.9
1,007.1
3,884.8
....

....
6,754.1
....
....
6,754.1
375.0
1,238.1
1,210.4
3,930.6
....

....
9,156.6
....
....
9,156.6
345.2
3,011.1
1,489.1
4,311.2
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

631.8 12,603.0

....

....

....

.8031

.7979

.7865

....
....

9,348.7 7,066.5
.9186

.8714

.8453

.8010

_______________________________________________________________________________________________________________________________
61
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahamas, The

313
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
809.0
814.0 1,090.8
....
700.6 1,403.7 1,315.1 1,222.1
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

Balance on goods......................................................... 1A9999 B XN

549.1
2,377.4

703.5
2,766.5

801.9
2,956.9

955.8
3,199.0

710.7
2,535.8

702.4
2,591.5

834.9
2,965.7

1,828.3

2,063.0

2,155.0

2,243.2

1,825.1

1,889.1

2,130.7

....
....
....

2,510.9
1,286.4

603.8

2,436.1
1,610.9

1,237.8

2,599.3
1,579.6

1,135.3

2,533.9
1,402.9

1,112.2

2,350.9
1,196.1

2,493.6
1,181.1

2,604.8
1,292.4

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

97.0
279.1

785.9

119.4
337.4

1,455.8

121.3
352.9

1,366.9

113.4
198.6

1,197.5

57.7
209.9

822.5

38.8
273.6

811.5

55.5
291.7

1,054.6

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

103.3
18.1

66.4
14.3

71.0
19.2

75.9
100.5

96.6
83.1

99.3
101.9

124.0
160.2

B. Capital Account........................................... 20999F B AA

....

60.4

63.5

75.7

16.8

7.2

3.6

5.5

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
60.4

761.1

....
63.5

....
75.7

....
16.8

....
7.2

....
3.6

817.6

....
5.5

1,096.4

C. Financial Account......................................... 30999F N AA

....

822.1 1,280.2 1,030.6 1,223.4 1,120.2 1,144.9

874.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

563.4
219.8
343.6

706.4
233.9
472.5

713.4
356.0
357.4

860.2
285.8
574.4

664.0
201.4
462.5

872.0
148.3
723.7

595.0
23.2
571.8

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

18.8
....
18.8

7.2
4.1
3.1

21.9
12.5
9.4

16.7
4.2
12.5

25.4
13.0
12.4

44.2
22.3
21.9

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

11,064.2
....
11,064.2

9,016.7
....
9,016.7

15,801.8
....
15,801.8

4,830.6 25,373.1
....
....
4,830.6 25,373.1

4,969.8
....
4,969.8

10,061.3
....
10,061.3

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

11,322.9
....
11,322.9

9,609.3
....
9,609.3

16,126.3
....
16,126.3

5,215.8 24,900.1
....
....
5,215.8 24,900.1

4,671.5
....
4,671.5

10,385.3
....
10,385.3

D. Net Errors and Omissions............................. 40999S N AA

....

149.2

107.5

313.9

124.7

51.8

279.5

221.7

E. Reserves and Related Items.......................... 4Z999S N AA

....

88.1

79.5

46.3

109.2

252.3

47.8

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

88.1
....
....

79.5
....
....

46.3
....
....

109.2
....
....

252.3
....
....

47.8
....
....

....
....
....

Conversion rates: Bahamian dollars per U.S.


dollar............................................................. RFZ F B

....

1.0000

1.0000

1.0000

1.0000

1.0000

1.0000

1.0000

Balance on goods and services...................................... 1Z9999 B XN

61.1

1,467.2

187.1

1,390.8

360.2

1,238.9

15.5

670.3

816.2

304.1

576.6

327.3

818.4

221.6

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
62
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahamas, The

313
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
809.0
814.0 1,090.8
....
700.6 1,403.7 1,315.1 1,222.1
GOODS AND SERVICES..................................... 1Z9999 B XN
670.3
576.6
818.4
....
603.8 1,237.8 1,135.3 1,112.2
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
3,060.0
3,139.6
3,401.2
3,489.7
3,061.5
3,196.0
3,439.7
....
3,663.8
4,377.4
4,536.5
4,601.9
3,731.9
3,772.6
4,258.1
. . . . 1,828.3 2,063.0 2,155.0 2,243.2 1,825.1 1,889.1 2,130.7
....
549.1
703.5
801.9
955.8
710.7
702.4
834.9
....
549.1
703.5
801.9
955.8
710.7
702.4
834.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2,377.4 2,766.5 2,956.9 3,199.0 2,535.8 2,591.5 2,965.7
....
2,377.4
2,766.5
2,956.9
3,199.0
2,535.8
2,591.5
2,965.7
....
....
....
....
....
....
....
....
....
1,224.5
825.2 1,019.8 1,131.0 1,154.8 1,312.5 1,312.4
....
2,510.9
2,436.1
2,599.3
2,533.9
2,350.9
2,493.6
2,604.8
....
1,286.4
1,610.9
1,579.6
1,402.9
1,196.1
1,181.1
1,292.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
55.6
57.4
57.5
52.7
79.2
118.2
131.5
9.7
9.9
10.7
11.2
10.7
11.7
15.0
....
....
....
....
....
....
....
....
....
....
45.9
47.6
46.8
41.6
68.5
106.6
116.6
....
366.4
358.5
373.3
360.7
346.8
342.0
327.3
183.7
156.1
161.2
154.7
146.3
141.2
101.4
....
....
166.5
185.2
193.3
182.6
167.1
169.3
179.1
....
16.2
17.3
18.7
23.4
33.4
31.5
46.9
....
2,070.5 2,056.4 2,187.2 2,143.8 2,014.2 2,146.8 2,254.1
....
....
....
....
....
....
....
....
....
2,070.5
2,056.4
2,187.2
2,143.8
2,014.2
2,146.8
2,254.1
....
344.3
385.2
377.4
304.5
240.5
227.6
246.3
....
38.9
52.9
39.2
36.9
26.0
32.9
33.1
....
305.4
332.3
338.3
267.6
214.4
194.7
213.2
....
384.8
322.2
354.6
337.5
257.5
228.6
219.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
333.6
289.4
321.7
296.9
217.8
191.2
171.2
....
....
....
....
....
....
....
....
....
51.2
32.9
32.9
40.6
39.6
37.4
47.9
....
575.7
867.1
828.9
737.7
608.8
611.5
718.9
....
40.7
214.4
176.2
34.3
20.7
15.7
163.0
....
96.9
120.7
107.0
106.6
92.6
165.3
185.9
....
....
....
....
....
....
....
....
....
16.1
17.7
19.7
17.9
17.5
10.6
15.3
....
1.0
1.0
1.0
1.1
1.0
1.0
1.0
....
341.3
410.0
445.2
479.0
348.5
338.0
319.2
....
2.0
2.0
2.0
2.0
2.0
.5
....
....
77.8
101.3
77.7
96.9
126.6
80.5
34.6
....
....
....
....
....
....
....
....
....
....
....

182.1
97.0
279.1
....
73.2
97.0
....
....
....
....
....

218.0
119.4
337.4
....
92.8
119.4
....
....
....
....
....

231.6
121.3
352.9
....
84.7
121.3
....
....
....
....
....

85.3
113.4
198.6
....
26.9
113.4
....
....
....
....
....

152.2
57.7
209.9
....
11.8
57.7
....
....
....
....
....

234.9
38.8
273.6
....
27.4
38.8
....
....
....
....
....

236.3
55.5
291.7
....
47.9
55.5
....
....
....
....
....

_______________________________________________________________________________________________________________________________
63
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahamas, The

313
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
97.0
....
97.0
....
....
....
....
205.9
....
....
....
....
....
....
....
....
....
....
205.9
....
205.9
....
....
....

....
....
....
....
....
119.4
....
119.4
....
....
....
....
244.6
....
....
....
....
....
....
....
....
....
....
244.6
....
244.6
....
....
....

....
....
....
....
....
121.3
....
121.3
....
....
....
....
268.2
....
....
....
....
....
....
....
....
....
....
268.2
....
268.2
....
....
....

....
....
....
....
....
113.4
....
113.4
....
....
....
....
171.7
....
....
....
....
....
....
....
....
....
....
171.7
....
171.7
....
....
....

....
....
....
....
....
57.7
....
57.7
....
....
....
....
198.0
....
....
....
....
....
....
....
....
....
....
198.0
....
198.0
....
....
....

....
....
....
....
....
38.8
....
38.8
....
....
....
....
246.3
....
....
....
....
....
....
....
....
....
....
246.3
....
246.3
....
....
....

....
....
....
....
....
55.5
....
55.5
....
....
....
....
243.8
....
....
....
....
....
....
....
....
....
....
243.8
....
243.8
....
....
....

....
....
....
....
....
....
....
....
....
....
....

85.2
103.3
66.3
37.0
....
37.0
18.1
7.3
10.8
10.8
....

52.0
66.4
65.2
1.2
....
1.2
14.3
6.8
7.5
7.5
....

51.8
71.0
69.8
1.2
....
1.2
19.2
8.9
10.3
10.3
....

24.6
75.9
74.7
1.2
....
1.2
100.5
11.8
88.7
39.0
49.7

13.5
96.6
95.4
1.2
....
1.2
83.1
8.7
74.5
51.5
23.0

2.6
99.3
98.1
1.2
....
1.2
101.9
10.8
91.2
60.7
30.5

36.2
124.0
123.4
.6
....
.6
160.2
10.0
150.2
71.8
78.4

....
....
....
....
....
....
....
....
....
....
....
....
....

60.4
....
....
....
....
....
....
....
60.4
....
....
....
60.4

63.5
....
....
....
....
....
....
....
63.5
....
....
....
63.5

75.7
....
....
....
....
....
....
....
75.7
....
....
....
75.7

16.8
....
....
....
....
....
....
....
16.8
....
....
....
16.8

7.2
....
....
....
....
....
....
....
7.2
....
....
....
7.2

3.6
....
....
....
....
....
....
....
3.6
....
....
....
3.6

5.5
....
....
....
....
....
....
....
5.5
....
....
....
5.5

FINANCIAL ACCOUNT........................................ 30999S N AA

....

910.3 1,359.7 1,076.9 1,114.2

867.9 1,097.2

874.7

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

563.4
....
....
....
....
....
....
....
....
....
....
....

664.0
....
....
....
....
....
....
....
....
....
....
....

595.0
....
....
....
....
....
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

706.4
....
....
....
....
....
....
....
....
....
....
....

713.4
....
....
....
....
....
....
....
....
....
....
....

860.2
....
....
....
....
....
....
....
....
....
....
....

872.0
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
64
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahamas, The

313
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

563.4
219.8
219.8
219.8
....
....
....
343.6
343.6
....
....

706.4
233.9
233.9
233.9
....
....
....
472.5
472.5
....
....

713.4
356.0
356.0
356.0
....
....
....
357.4
357.4
....
....

860.2
285.8
285.8
285.8
....
....
....
574.4
574.4
....
....

664.0
201.4
201.4
201.4
....
....
....
462.5
462.5
....
....

872.0
148.3
148.3
148.3
....
....
....
723.7
723.7
....
....

595.0
23.2
23.2
23.2
....
....
....
571.8
571.8
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

18.8
18.8
....
....
....
....
....
....
18.8
....
....
....
18.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7.2
7.2
4.1
....
....
....
4.1
....
3.1
....
....
....
3.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....

21.9
21.9
12.5
....
....
....
12.5
....
9.4
....
....
....
9.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....

16.7
16.7
4.2
....
....
....
4.2
....
12.5
....
....
....
12.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....

25.4
25.4
13.0
....
....
....
13.0
....
12.4
....
....
....
12.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....

44.2
44.2
22.3
....
....
....
22.3
....
21.9
....
....
....
21.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

258.7
11,064.2
....
11,064.2
....
11,064.2
....
....
....
11,322.9
....
....
11,322.9
....
11,111.7
8.5
219.7
....

592.6
9,016.7
....
9,016.7
....
9,016.7
....
....
....
9,609.3
....
....
9,609.3
....
9,159.8
3.5
453.0
....

324.5
15,801.8
....
15,801.8
....
15,801.8
....
....
....
16,126.3
....
....
16,126.3
....
15,715.2
6.4
417.4
....

385.1
4,830.6
....
4,830.6
....
4,830.6
....
....
....
5,215.8
....
....
5,215.8
....
4,866.9
106.4
242.6
....

473.0
25,373.1
....
25,373.1
....
25,373.1
....
....
....
24,900.1
....
178.5
25,078.6
....
25,395.0
323.6
7.2
....

298.3
4,969.8
....
4,969.8
....
4,969.8
....
....
....
4,671.5
....
....
4,671.5
....
4,946.2
148.4
126.4
....

324.0
10,061.3
....
10,061.3
....
10,061.3
....
....
....
10,385.3
....
....
10,385.3
....
9,959.9
80.5
344.9
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

88.1
....
....
....
88.1

79.5
....
....
....
79.5

46.3
....
.1
....
46.4

109.2
....
....
....
109.2

252.3
....
178.4
....
73.9

47.8
....
....
....
47.8

....
....
.1
....
.1

NET ERRORS AND OMISSIONS.........................

....

149.2

107.5

313.9

124.7

51.8

279.5

221.7

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
65
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahrain, Kingdom of

419
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
1,474.2 2,187.4 2,906.6 2,256.9
560.0
770.1

3,247.3

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

10,242.0
8,870.7

12,200.0
9,953.8

13,633.5
10,925.4

17,315.7
14,246.3

11,873.7
9,613.0

13,647.1
11,190.4

19,650.3
12,105.9

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

3,154.9
1,416.2

3,462.3
1,605.2

3,680.9
1,700.9

3,915.7
2,030.1

3,831.1
1,741.0

4,233.2
1,905.1

3,295.7
1,778.5

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

1,371.3

2006

2,246.2

2007

2,708.1

2008

3,069.4

2009

2,260.6

2,456.6

7,544.4

3,110.0

4,103.2

4,688.0

4,955.1

4,350.8

4,784.8

9,061.7

5,015.8
5,428.1

2,697.6

7,633.7
8,018.6

3,718.3

10,373.6
10,672.3

4,389.3

7,088.0
8,011.7

4,031.4

1,680.1
4,080.0

1,950.9

1,467.6
3,840.6

2,411.8

6,821.8
10,586.2

....
....

....
1,223.4

....
1,530.9

....
1,482.8

....
1,774.5

....
1,391.0

....
1,641.8

....
2,050.0

B. Capital Account........................................... 20999F B AA

....

50.0

75.0

50.0

50.0

50.0

50.0

76.1

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

50.0
....

1,524.2

75.0
....

2,262.4

50.0
....

2,956.6

50.0
....

2,306.9

50.0
....

50.0
....

76.1
....

C. Financial Account......................................... 30999F N AA

....

1,380.0

1,451.4

1,552.2

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

1,135.4
1,135.4
....

980.1
980.1
....

1,669.1
1,669.1
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,048.6
1,048.6
....

2,914.7
2,914.7
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

7,036.2
2,219.7
4,816.5

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

5,297.3

610.0

820.1

3,323.4

2,570.8

478.4

352.4

3,982.2

1,620.5
1,620.5
....

1,791.5
1,791.5
....

334.0
334.0
....

893.6
893.6
....

1,756.3
1,756.3
....

1,794.0
1,794.0
....

257.1
257.1
....

155.8
155.8
....

780.9
780.9
....

10,527.3
2,200.7
8,326.7

9,890.1
3,368.1
6,522.0

6,286.8
793.2
7,079.9

6,710.1
1,641.6
5,068.5

2,051.6
253.1
1,798.5

5,164.1
4,740.4
423.7

2,421.9
1,801.1
620.8

1,696.1
133.8
1,562.3

1,330.2
138.8
1,191.5

2,990.1
156.4
2,833.7

1,565.5
487.2
2,052.8

2,704.2
1,652.7
1,051.5

419.1
981.9
562.8

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

11,562.4
....
11,562.4

30,234.9
....
30,234.9

38,504.7
....
38,504.7

3,264.6 18,123.8
....
....
3,264.6 18,123.8

2,739.7 17,327.4
....
....
2,739.7 17,327.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

14,883.6
....
14,883.6

35,680.1
....
35,680.1

45,425.2
....
45,425.2

8,756.6 28,926.4
....
....
8,756.6 28,926.4

6,964.8 26,780.1
....
....
6,964.8 26,780.1

D. Net Errors and Omissions............................. 40999S N AA

....

149.9

10.9

E. Reserves and Related Items.......................... 4Z999S N AA

....

294.2

822.0

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

294.2
....
....

822.0
....
....

Conversion rates: Bahrain dinar per U.S.


dollar............................................................. RFZ F B

....

.3760

.3760

144.2

811.1

1,404.4

263.9

131.5

1,172.4

658.8

10.3

30.3

250.0

107.1

71.5

1,414.7

294.2

118.5

1,279.5

587.3

1,414.7
....
....

294.2
....
....

118.5
....
....

1,279.5
....
....

587.3
....
....

.3760

.3760

.3760

.3760

.3760

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
66
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahrain, Kingdom of

419
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
1,474.2 2,187.4 2,906.6 2,256.9
560.0
770.1
GOODS AND SERVICES..................................... 1Z9999 B XN
....
3,110.0 4,103.2 4,688.0 4,955.1 4,350.8 4,784.8
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 13,396.9 15,662.3 17,314.4 21,231.4 15,704.8 17,880.3


. . . . 10,287.0 11,559.0 12,626.3 16,276.3 11,354.0 13,095.5
....
1,371.3 2,246.2 2,708.1 3,069.4 2,260.6 2,456.6
. . . . 10,242.0 12,200.0 13,633.5 17,315.7 11,873.7 13,647.1
. . . . 10,242.0 12,200.0 13,633.5 17,315.7 11,873.7 13,647.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
8,870.7 9,953.8 10,925.4 14,246.3 9,613.0 11,190.4
....
8,870.7
9,953.8 10,925.4 14,246.3
9,613.0 11,190.4
....
....
....
....
....
....
....
....
1,738.7 1,857.0 1,979.9 1,885.6 2,090.2 2,328.2
....
3,154.9
3,462.3
3,680.9
3,915.7
3,831.1
4,233.2
....
1,416.2
1,605.2
1,700.9
2,030.1
1,741.0
1,905.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
106.6
139.8
156.6
175.5
178.2
186.2
....
....
....
....
....
....
....
....
683.0
737.5
749.2
761.2
755.3
801.1
683.0
737.5
749.2
761.2
755.3
801.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
630.2
689.3
698.4
905.3
715.0
757.7
160.1
184.0
192.3
201.1
189.1
177.9
....
....
470.1
505.2
506.1
704.2
525.9
579.7
....
....
....
....
....
....
....
....
919.8 1,047.7 1,105.1 1,166.0 1,118.1 1,361.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
413.8
455.3
478.7
503.2
407.7
505.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,445.5 1,537.2 1,669.9 1,813.0 1,779.5 1,884.3
....
....
....
....
....
....
....
....
655.1
732.7
819.1
915.7
851.3
905.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
637.5
634.3
666.5
699.7
740.4
799.5
....
152.9
170.2
184.3
197.6
187.8
179.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
372.2
460.7
523.8
621.6
618.3
641.8
....
....
....
....
....
....
....
....
234.1
305.6
352.0
429.0
417.5
431.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
11.2
16.2
23.7
34.6
40.4
47.3
....
126.9
138.8
148.1
158.0
160.4
162.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

412.4
5,015.8
5,428.1
....
....
5,015.8
470.8
470.8
188.3
282.5
....

384.9
298.7
7,633.7 10,373.6
8,018.6 10,672.3
....
....
....
....
7,633.7 10,373.6
607.0
724.6
607.0
724.6
242.8
289.9
364.2
434.8
....
....

2011
3,247.3
9,061.7
22,946.0
13,884.3
7,544.4
19,650.3
19,650.3
....
....
12,105.9
12,105.9
....
1,517.3
3,295.7
1,778.5
....
....
255.9
....
731.4

731.4

....
....
644.4

180.9
463.6

....
1,034.6
....
....
718.1
....
....
1,273.9
....
352.1
....
....
626.6
295.2
....
....
416.0
....
84.8
....
....
54.5
276.6
....
....

923.7 2,399.9 2,373.0 3,764.4


7,088.0
1,680.1
1,467.6
6,821.8
8,011.7
4,080.0
3,840.6 10,586.2
....
....
....
....
....
....
....
....
7,088.0 1,680.1 1,467.6 6,821.8
924.9
1,305.9
1,055.1
4,387.0
924.9
1,305.9
1,055.1
4,387.0
370.0
522.4
422.1
1,754.8
555.0
783.6
633.1
2,632.2
....
....
....
....

_______________________________________________________________________________________________________________________________
67
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahrain, Kingdom of

419
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA

....

2005

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,120.1
191.1
....
....
929.0
3,424.9
....
3,424.9
....
....
....
....
5,428.1
1,158.0
1,158.0
453.3
704.6
....
92.5
....
....
....
92.5
4,177.6
....
4,177.6
....
....
....

2006

2007

2008

2009

1,754.9
2,297.1
296.0
401.1
....
....
....
....
1,458.8
1,896.1
5,271.8
7,351.8
....
....
5,271.8
7,351.8
....
....
....
....
....
....
....
....
8,018.6 10,672.3
1,445.7
1,914.9
1,445.7
1,914.9
640.3
826.4
805.4
1,088.5
....
....
164.3
242.8
....
....
....
....
....
....
164.3
242.8
6,408.6
8,514.6
....
....
6,408.6
8,514.6
....
....
....
....
....
....

1,291.5
239.3
....
....
1,052.2
4,871.6
....
4,871.6
....
....
....
....
8,011.7
2,198.7
2,198.7
938.3
1,260.4
....
204.6
....
....
....
204.6
5,608.3
....
5,608.3
....
....
....

54.2
10.8
....
....
43.4
320.0
....
320.0
....
....
....
....
4,080.0
1,600.6
1,600.6
699.1
901.5
....
38.2
....
....
....
38.2
2,441.1
....
2,441.1
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

50.0
....
....
50.0
50.0
....
50.0
....
....
....
....
....
....

75.0
....
....
75.0
75.0
....
75.0
....
....
....
....
....
....

50.0
....
....
50.0
50.0
....
50.0
....
....
....
....
....
....

50.0
....
....
50.0
50.0
....
50.0
....
....
....
....
....
....

50.0
....
....
50.0
50.0
....
50.0
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1,674.1

2,273.3

2,966.9

2,276.6

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

86.8 1,934.6
1,135.4
980.1
1,135.4
980.1
852.9
615.8
852.9
615.8
....
....
....
....
282.5
364.2
....
....
....
....
....
....
....
....

87.2
1,669.1
1,669.1
1,234.4
1,234.4
....
....
434.8
....
....
....
....

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

2011

63.0
488.6
13.8
111.4
....
....
....
....
49.2
377.1
349.4
1,946.3
....
....
349.4
1,946.3
....
....
....
....
....
....
....
....
3,840.6 10,586.2
3,143.3
7,777.4
3,143.3
7,777.4
1,316.2
3,117.3
1,827.2
4,660.1
....
....
105.7
137.2
....
....
....
....
....
....
105.7
137.2
591.6
2,671.5
....
....
591.6
2,671.5
....
....
....
....
....
....

. . . . 1,223.4 1,530.9 1,482.8 1,774.5 1,391.0 1,641.8 2,050.0


....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,223.4 1,530.9 1,482.8 1,774.5 1,391.0 1,641.8 2,050.0
....
....
....
....
....
....
....
....
....
1,223.4
1,530.9
1,482.8
1,774.5
1,391.0
1,641.8
2,050.0
....
1,223.4
1,530.9
1,482.8
1,774.5
1,391.0
1,641.8
2,050.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 C GA


Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

2010

50.0
....
....
50.0
50.0
....
50.0
....
....
....
....
....
....

76.1
....
....
76.1
76.1
....
76.1
....
....
....
....
....
....

360.0

927.2

3,394.9

173.5 2,048.6
1,620.5 1,791.5
1,620.5 1,791.5
1,065.5 2,575.1
1,065.5 2,575.1
....
....
....
....
555.0
783.6
....
....
....
....
....
....
....
....

178.3
334.0
334.0
299.0
299.0
....
....
633.1
....
....
....
....

112.8
893.6
893.6
1,738.6
1,738.6
....
....
2,632.2
....
....
....
....

_______________________________________________________________________________________________________________________________
68
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahrain, Kingdom of

419
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,048.6
1,048.6
344.0
344.0
....
....
704.6
....
....
....
....

2,914.7
2,914.7
2,109.3
2,109.3
....
....
805.4
....
....
....
....

1,756.3
1,756.3
667.8
667.8
....
....
1,088.5
....
....
....
....

1,794.0
1,794.0
533.6
533.6
....
....
1,260.4
....
....
....
....

257.1
257.1
644.4
644.4
....
....
901.5
....
....
....
....

155.8
155.8
1,671.4
1,671.4
....
....
1,827.2
....
....
....
....

780.9
780.9
3,879.3
3,879.3
....
....
4,660.1
....
....
....
....

4,614.3 8,831.2
7,036.2 10,527.3
2,219.7 2,200.7
....
....
1,103.7
1,342.0
....
....
1,116.0
858.6
....
....
4,816.5 8,326.7
....
....
4,538.8
8,113.1
....
....
277.7
213.6
....
....
2,421.9 1,696.1
1,801.1
133.8
....
....
....
....
....
....
1,801.1
133.8
....
....
620.8 1,562.3
....
....
620.8
1,562.3
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,321.2
11,562.4
....
11,562.4
....
11,562.2
4.5
4.3
....
14,883.6
....
....
14,883.6
....
14,797.4
39.7
46.5
....

5,445.2
30,234.9
....
30,234.9
....
30,226.6
11.4
3.2
....
35,680.1
....
....
35,680.1
....
35,613.3
22.7
44.1
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

294.2
....
1.6
.5
292.0

822.0
....
3.1
....
818.9

1,414.7
....
4.1
....
1,410.6

294.2
....
4.2
....
298.4

118.5
....
185.2
....
303.7

1,279.5
....
.3
....
1,279.3

587.3
....
.5
....
587.8

NET ERRORS AND OMISSIONS.........................

....

149.9

10.9

10.3

30.3

250.0

107.1

71.5

Central bank.............................................................. 3BA000 A CA


Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

8,559.9 9,276.9 8,275.6 4,755.8 5,583.2


9,890.1 6,286.8 6,710.1 2,051.6 5,164.1
3,368.1
793.2 1,641.6
253.1 4,740.4
....
....
....
....
....
2,183.6 1,421.4
115.0
318.4
9.8
....
....
....
....
....
1,184.5
2,214.5 1,526.6
571.5 4,750.3
....
....
....
....
....
6,522.0 7,079.9 5,068.5 1,798.5
423.7
....
....
....
....
....
6,226.9 7,861.4 4,199.3 1,912.1
670.5
....
....
....
....
....
295.1
781.5
869.2
113.6 1,094.1
....
....
....
....
....
1,330.2 2,990.1 1,565.5 2,704.2
419.1
138.8
156.4
487.2 1,652.7
981.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
138.8
156.4
487.2
1,652.7
981.9
....
....
....
....
....
1,191.5 2,833.7 2,052.8 1,051.5
562.8
....
....
....
....
....
1,191.5
3,333.7
1,302.8
198.5 1,315.4
....
500.0
750.0
1,250.0
752.7
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

6,920.5 12,021.2 10,802.7 4,225.2 9,452.7


38,504.7 3,264.6 18,123.8 2,739.7 17,327.4
....
....
....
....
....
38,504.7 3,264.6 18,123.8 2,739.7 17,327.4
....
....
....
....
....
38,497.3
3,265.2 18,160.5 2,745.8 17,313.6
10.6
2.7
39.9
9.3
1.6
3.2
3.2
3.2
3.2
15.4
....
....
....
....
....
45,425.2 8,756.6 28,926.4 6,964.8 26,780.1
....
....
....
....
....
....
....
184.7
....
....
45,425.2 8,756.6 29,111.1 6,964.8 26,780.1
....
....
....
....
....
45,331.6 8,869.8 29,184.2 6,956.1 27,002.4
46.3
60.0
19.9
61.9
14.4
47.3
53.2
53.2
53.2
236.7
....
....
....
....
....

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
69
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahrain, Kingdom of

419

Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 124,680.7 167,239.0 218,712.8 217,015.2 190,238.9 187,046.4 164,838.7
Direct investment............................................. 8A9999 A AA
....
5,070.5 6,050.5 7,719.7 9,340.1 7,548.7 7,882.7 8,776.3
Equity and investment fund shares................. 8AA000 A AA
....
5,070.5 6,050.5 7,719.7 9,340.1 7,548.7 7,882.7 8,776.3
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,070.5
....
....
....
....
....
....
33,331.7
8,080.4
....
5,133.6
....
2,946.9
....
25,251.2
....
24,548.0
....
703.2
....
....
84,291.9
....
84,291.9
....
84,280.8
....
11.2
....
1,986.6
6.6
2.4
101.8
1,875.8

6,050.5
....
....
....
....
....
....
43,859.0
10,281.1
....
6,475.6
....
3,805.5
....
33,577.9
....
32,661.1
....
916.8
....
....
114,515.3
....
114,515.3
....
114,507.3
....
8.0
....
2,814.1
6.6
5.7
107.1
2,694.7

7,719.7
....
....
....
....
....
....
53,749.1
13,649.2
....
8,659.2
....
4,990.0
....
40,099.9
....
38,888.0
....
1,211.9
....
....
153,009.4
....
153,009.4
....
153,004.6
....
4.8
....
4,234.6
6.6
10.2
112.5
4,105.3

9,340.1
....
....
....
....
....
....
47,463.4
14,442.4
....
7,237.8
....
7,204.5
....
33,021.0
....
31,026.6
....
1,994.4
....
....
156,274.5
....
156,274.5
....
156,269.7
....
4.8
....
3,937.2
6.6
14.0
109.7
3,806.9

7,548.7
....
....
....
....
....
....
40,754.4
12,800.8
....
7,122.8
....
5,677.9
....
27,953.7
....
26,827.4
....
1,126.3
....
....
138,114.3
....
138,114.3
....
138,109.5
....
4.8
....
3,821.5
6.6
200.0
111.6
3,503.2

7,882.7
....
....
....
....
....
....
38,702.8
12,547.6
....
7,441.3
....
5,106.4
....
26,155.2
....
24,915.3
....
1,239.9
....
....
135,365.3
....
135,365.3
....
135,363.7
....
1.6
....
5,095.6
6.6
196.8
109.7
4,782.4

8,776.3
....
....
....
....
....
....
33,538.8
10,520.7
....
5,906.6
....
4,614.1
....
23,018.1
....
21,911.2
....
1,106.9
....
....
118,016.2
....
118,016.2
....
118,018.4
....
2.1
....
4,507.3
6.6
196.7
109.3
4,194.7

. . . . 116,854.3 157,077.1 205,555.1 201,569.7 174,386.1


....
8,276.1 11,190.7 12,947.0 14,741.0 14,998.2
....
8,276.1 11,190.7 12,947.0 14,741.0 14,998.2
....
8,276.1 11,190.7 12,947.0 14,741.0 14,998.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
4,998.4 6,694.6 8,024.8 11,014.9 12,580.4
....
2,453.5 2,587.3 2,726.1 2,882.4 2,395.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2,453.5
2,587.3
2,726.1
2,882.4
2,395.2
....
....
....
....
....
....
....
2,545.0 4,107.3 5,298.7 8,132.4 10,185.2
....
....
....
....
....
....
....
2,045.0
3,607.3
4,798.7
8,132.4
9,435.2
....
500.0
500.0
500.0
....
750.0
....
....
....
....
....
....
....
....
....
....
....
....

170,277.3
15,154.0
15,154.0
15,154.0
....
....
....
....
....
....
15,284.6
4,047.9
....
....
....
4,047.9
....
11,236.7
....
9,236.7
2,000.0
....
....

144,603.4
15,934.8
15,934.8
15,934.8
....
....
....
....
....
....
15,703.7
4,920.2
....
....
....
4,920.2
....
10,783.5
....
8,033.5
2,750.0
....
....

_______________________________________________________________________________________________________________________________
70
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bahrain, Kingdom of

419

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Bahrain dinar per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
. . . . 103,579.8 139,191.8 184,583.2 175,813.8 146,807.5 139,838.8 112,964.8
....
....
....
....
....
....
....
....
....
8.9
9.3
9.8
9.5
194.9
191.5
190.9
. . . . 103,570.9 139,182.5 184,573.4 175,804.2 146,612.6 139,647.3 112,773.9
....
....
....
....
....
....
....
....
. . . . 102,827.0 138,440.2 183,771.8 174,902.0 145,718.1 138,762.0 111,952.7
....
739.9
752.4
811.5
912.1
904.3
912.4
872.9
....
4.0
10.1
9.8
9.8
9.8
27.1
51.6
....
....
....
....
....
....
....
....
....
....

7,826.4 10,161.8 13,157.7 15,445.5 15,852.8 16,769.1 20,235.3


.3760

.3760

.3760

.3760

.3760

.3760

.3760

_______________________________________________________________________________________________________________________________
71
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bangladesh

513
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis

A. Current Account..........................................

10999F B XN

....

176.2

1,196.1

856.9

926.2

3,556.1

2,108.5

243.5

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

9,054.5
12,343.7

11,233.8
14,245.7

12,137.8
16,469.8

15,298.3
21,411.1

15,051.7
19,677.7

19,209.4
25,081.6

24,539.3
32,583.9

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

4,950.4

4,737.0

6,430.8

8,691.6

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

4,785.0
10.8

5,941.3
8.2

7,297.4
9.8

B. Capital Account........................................... 20999F B AA

....

261.7

152.5

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

261.7
....

85.5

152.5
....

1,348.6

1,572.3

C. Financial Account......................................... 30999F N AA

....

142.4

120.2

680.0

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

1.9
1.9
....

....
....
....

....
....
....

....
....
....

19.4
19.4
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

813.3
660.5
152.8

697.2
665.4
31.8

652.8
553.3
99.5

1,009.6
965.8
43.8

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

.1
.1
....

2.6
2.6
....

12.9
12.9
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

19.5
19.5
....

30.8
30.8
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA


E. Reserves and Related Items.......................... 4Z999S N AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

3,289.2

3,011.9

4,332.0

6,112.7

4,626.0

5,872.2

8,044.6

1,365.6
2,233.2

1,510.7
2,395.2

1,768.6
2,899.4

2,103.7
3,663.6

1,995.7
3,408.9

2,445.1
4,391.8

2,645.3
5,199.2

7,424.6

112.2
1,564.1

149.1
1,613.7

9,270.8 12,063.1

9,768.0
150.3

11,246.7
265.9

11,740.6
361.3

12,791.1
484.5

715.4

490.5

474.9

603.4

527.6

715.4
....

490.5
....

474.9
....

603.4
....

527.6
....

4,156.8

3,896.3

5,462.8

7,672.6

6,039.1

116.6
910.2

177.4
1,018.1

244.1
1,212.0

192.3
1,211.2

49.1
1,434.6

4,031.1

2,711.9

771.1

268.3 2,069.8

1,638.0

1,197.1

1.5
1.5
....

4.6
4.6
....

732.8
661.3
71.5

918.2
889.3
28.9

797.5
727.4
70.1

57.6
4.2
53.4

11.7
4.3
7.3

824.5
18.4
806.2

51.2
51.3
.1

153.9
153.4
.5

19.2
48.3
67.5

43.3
152.6
195.9

166.0
.1
166.1

108.2
9.5
117.7

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

865.3
....
865.3

1,352.8
....
1,352.8

1,004.2
....
1,004.2

2,188.1
....
2,188.1

951.0
....
951.0

2,683.2
....
2,683.2

2,221.4
....
2,221.4

176.8
....
176.8

747.6
....
747.6

890.4
....
890.4

948.6
....
948.6

2,275.8
....
2,275.8

787.2
....
787.2

174.3
....
174.3

2,252.3

1,416.6

7,818.9 10,598.5

227.9

1,468.8

1,148.3

6,100.9

1,073.9

426.0

....

643.9

603.5

879.5

129.6 1,766.3

....

416.1

865.3

1,372.8

1,018.8

4,334.6

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

318.6
97.5
....

1,012.0
146.7
....

1,372.8
....
....

1,229.4
210.6
....

4,311.5
23.2
....

974.5
45.2
....

2,051.3
131.5
....

Conversion rates: taka per U.S. dollar.............. RFZ F B

....

64.327

68.933

68.875

68.598

69.039

69.649

74.152

54.2 1,493.8
1,019.7 1,919.8

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
72
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bangladesh

513
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis


CURRENT ACCOUNT.......................................... 109999 B XN
....
176.2 1,196.1
856.9
926.2 3,556.1 2,108.5
243.5
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 4,156.8 3,896.3 5,462.8 7,672.6 6,039.1 7,818.9 10,598.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 10,420.2 12,744.5 13,906.4 17,402.0


. . . . 14,576.9 16,640.8 19,369.3 25,074.7
. . . . 3,289.2 3,011.9 4,332.0 6,112.7
....
9,054.5 11,233.8 12,137.8 15,298.3
....
9,054.5 11,233.8 12,137.4 15,298.4
....
....
....
.4
.1
....
....
....
....
....
. . . . 12,343.7 14,245.7 16,469.8 21,411.1
. . . . 12,343.7 14,245.7 16,469.8 21,411.1
....
....
....
....
....
....
867.6
884.4 1,130.8 1,559.9
....
1,365.6
1,510.7
1,768.6
2,103.7
....
2,233.2
2,395.2
2,899.4
3,663.6
....
115.4
174.9
148.6
108.3
....
....
....
....
....
....
1.3
2.0
4.3
2.0
....
26.5
54.7
15.4
1.8
....
117.7
92.1
83.4
117.5
8.5
.2
....
....
....
....
24.5
18.9
16.1
18.0
....
84.7
73.0
67.3
99.5
....
1,547.0 1,608.6 2,151.2 3,033.0
239.4
303.5
374.2
551.2
....
....
1,304.9
1,303.9
1,776.1
2,474.8
....
2.6
1.1
1.0
7.0
....
70.0
80.3
76.4
74.6
....
2.1
1.8
1.8
.6
....
67.9
78.6
74.6
73.9
....
136.3
139.6
155.8
183.6
....
24.3
25.8
24.4
24.0
....
112.0
113.8
131.3
159.5
....
1,061.3 1,161.4 1,455.8 1,801.3
....
14.2
22.4
29.9
7.4
....
5.0
8.0
10.6
11.5
....
18.0
26.2
20.6
30.1
....
.3
.3
....
....
....
37.9
90.2
89.1
137.8
....
210.0
280.5
373.0
516.5
....
1.1
2.6
1.2
1.1
....
774.8
731.3
931.4
1,096.8
....
523.4
592.3
577.1
445.3
....
1.1
1.4
.3
.3
....
150.6
175.0
153.5
18.8
....
13.3
20.3
21.7
25.3
....
2.7
5.2
7.7
21.9
....
22.7
13.4
27.4
20.5
....
137.7
147.4
155.1
189.3
....
....
.4
.2
.2
....
195.3
229.1
211.3
168.9
....
....
....
....
....
....
....
....
....
....
....

793.6
116.6
910.2
12.1
....
104.5
2.1
2.1
2.1
....
....

840.7
177.4
1,018.1
9.9
....
167.6
10.7
10.7
10.7
....
....

17,047.5
23,086.6
4,626.0
15,051.7
15,050.3
1.4
....
19,677.7
19,677.7
....
1,413.1
1,995.7
3,408.9
22.3
....
....
....
146.8

21,654.5
29,473.4
5,872.2
19,209.4
19,205.7
3.8
....
25,081.6
25,081.6
....
1,946.7
2,445.1
4,391.8
37.0
....
....
....
175.8

27,184.6
37,783.1
8,044.6
24,539.3
24,524.1
15.2
....
32,583.9
32,583.9
....
2,553.9
2,645.3
5,199.2
40.2
....
....
....
244.6

2,650.6

3,441.9

4,210.3

69.6
.8
68.8
249.1
21.8
227.3
1,756.9
3.9
10.9
41.5
.3
219.8
450.9
1.7
1,027.9
509.2
.3
24.4
44.8
8.4
23.0
196.6
.4
211.4

81.2
1.1
80.1
260.6
29.0
231.6
2,151.0
6.9
6.8
40.8
.5
313.2
572.0
1.9
1,208.8
689.3
6.3
26.3
47.9
17.6
24.4
299.3
.1
267.3

87.2
1.1
86.2
300.5
34.9
265.6
2,273.2
19.7
9.7
57.0
.7
456.0
469.8
2.3
1,258.2
688.4
9.6
30.9
78.1
11.7
24.8
238.4
1.4
293.6

7.1
16.2
123.6

402.1
2,236.9
11.6

21.6
29.3
124.9

573.8
2,860.9
7.1

9.9
32.1
202.6

462.0
3,714.4
33.8

967.9 1,018.9 1,385.5 1,451.9 1,464.6


244.1
192.3
49.1
112.2
149.1
1,212.0
1,211.2
1,434.6
1,564.1
1,613.7
....
....
13.0
14.2
17.2
....
....
....
....
....
....
....
36.0
98.0
131.9
....
....
1.0
1.5
.2
....
....
1.0
1.5
.2
....
....
1.0
1.5
.2
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
73
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bangladesh

513
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
102.4
....
102.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
156.9
....
156.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.1
.1
.1
....
....
4.9
....
4.9
....
30.0
....
30.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
2.6
....
2.6
....
93.9
....
93.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.1
.1
.1
....
....
2.9
....
2.9
....
128.8
....
128.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

4,774.2
4,785.0
37.8
4,747.1
4,302.4
444.7
10.8
1.0
9.8
2.6
7.2

5,933.1
5,941.3
11.6
5,929.6
5,417.7
512.0
8.2
.8
7.4
1.8
5.6

7,287.7
7,297.4
168.4
7,129.0
6,553.1
575.9
9.8
1.6
8.2
2.1
6.1

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

261.7
....
....
261.7
261.7
....
261.7
....
....
....
....
....
....

152.5
....
....
152.5
152.5
....
152.5
....
....
....
....
....
....

715.4
....
....
715.4
715.0
....
715.0
.5
....
....
....
....
....

490.5
....
....
490.5
490.3
....
490.3
.1
....
....
....
....
....

474.9
....
....
474.9
474.9
....
474.9
....
....
....
....
....
....

603.4
....
....
603.4
603.4
....
603.4
....
....
....
....
....
....

527.6
....
....
527.6
527.6
....
527.6
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

558.4

745.1

692.7

1,287.1

2,264.8

2,657.7

722.7

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

811.4
1.9
1.9
1.9
1.9
....
....
....
....
....
....
....

697.2
....
....
....
....
....
....
....
....
....
....
....

652.8 1,009.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

713.4
19.4
19.4
19.4
....
19.4
....
....
....
....
....
....

916.6
1.5
1.5
1.5
.3
1.3
....
....
....
....
....
....

792.9
4.6
4.6
4.6
1.6
3.0
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

9,617.8 10,980.8 11,379.3 12,306.6


9,768.0 11,246.7 11,740.6 12,791.1
66.5
106.6
113.0
125.1
9,701.6 11,140.0 11,627.6 12,666.0
8,925.3 10,507.6 10,836.0 12,050.6
776.2
632.4
791.6
615.4
150.3
265.9
361.3
484.5
.9
....
....
....
149.4
265.9
361.3
484.5
5.8
5.9
7.5
9.5
143.6
260.1
353.8
475.0

_______________________________________________________________________________________________________________________________
74
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bangladesh

513
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

813.3
660.5
417.8
417.8
....
....
242.8
152.8
152.8
....
....

697.2
665.4
361.2
361.2
....
....
304.2
31.8
31.8
....
....

652.8
553.3
347.8
347.8
....
....
205.5
99.5
99.5
....
....

1,009.6
965.8
685.5
685.5
....
....
280.3
43.8
43.8
....
....

732.8
661.3
355.9
355.9
....
....
305.4
71.5
71.5
....
....

918.2
889.3
521.3
521.3
....
....
367.9
28.9
28.9
....
....

797.5
727.4
303.5
303.5
....
....
423.9
70.1
70.1
....
....

19.4
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
19.5
19.5
....
....
....
19.5

28.2
2.6
2.6
....
....
....
2.6
....
....
....
....
....
....
....
30.8
30.8
....
3.6
....
27.2

141.0
12.9
12.9
....
....
....
12.9
....
....
....
....
....
....
....
153.9
153.4
....
29.9
....
123.4

38.4
57.6
4.2
....
....
4.3
.1
....
53.4
....
6.2
....
59.7

31.7
11.7
4.3
....
4.3
....
....
....
7.3
....
44.9
....
52.3

658.5
824.5
18.4
....
18.4
....
....
....
806.2
....
523.2
....
282.9

57.0
51.2
51.3
....
51.3
....
....
....
.1
....
63.0
....
63.0

19.2
48.3
....
28.9
....
77.1

43.3
152.6
....
7.5
....
160.2

166.0
.1
....
65.4
....
65.5

108.2
9.5
....
42.4
....
51.9

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....

....
....
....
....
....
....

.5
....
....
....
.5
....

67.5
....
....
67.5
....
....

195.9
....
....
195.9
....
....

166.1
....
....
166.1
....
....

117.7
....
....
117.7
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,028.9 1,301.6
2,188.1
951.0
....
....
2,188.1
951.0
....
....
22.4
53.1
....
....
2,191.5
898.7

1,941.3
2,683.2
....
2,683.2
....
280.0
....
2,403.3

2,178.6
2,221.4
....
2,221.4
....
14.9
....
2,236.2

742.0
....
....
742.0
377.3
179.7
273.1
88.1

42.8
....
....
42.8
292.9
374.9
111.0
150.2

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

19.5

52.3

....
....
....

....
....
....

....
....
....

590.9
865.3
....
865.3
....
61.8
....
803.5

458.5
1,352.8
....
1,352.8
....
90.6
....
1,262.2

113.8
1,004.2
....
1,004.2
....
14.6
....
989.6

274.4
....
....
274.4
46.9
96.5
73.0
57.9

894.3
....
....
894.3
205.6
72.3
602.4
14.0

890.4
....
....
890.4
122.2
82.3
827.4
23.1

1,159.2
....
....
1,159.2
225.3
152.8
869.5
88.4

2,252.7
....
724.0
1,528.6
727.8
40.1
934.7
93.8

318.6
....
.2
....
318.3

1,012.0
....
.4
....
1,011.6

1,372.8
....
.6
....
1,373.3

1,229.4
....
1.5
....
1,227.8

4,311.5
....
714.0
....
3,597.5

974.5 2,051.3
452.5
.1
45.7
77.9
.2
....
567.6 2,129.3

643.9

603.5

879.5

129.6 1,766.3

54.2 1,493.8

20.9

4.7

989.6

23.1

2,191.5

88.4

898.7

93.8

65.5

63.0

77.1

1,262.2

160.2

282.9

123.4

803.5

27.2

59.7

2,403.3

88.1

51.9

2,236.2

150.2

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
75
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bangladesh

513
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to 2007 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
ASSETS.............................................................. 80999S A AA
....
3,831.1 5,108.5 7,239.8 7,820.5 12,613.6 14,497.5 12,637.5
Direct investment............................................. 8A9999 A AA
....
145.4
178.8
192.7
169.5
328.6
243.4
266.5
Equity and investment fund shares................. 8AA000 A AA
....
60.2
62.3
65.3
60.3
73.3
80.5
88.3
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

60.2
....
....
85.2
33.6
51.5
....
25.3
25.3
....
25.1
....
.2
....
....
....
....
....
....
....
....
893.1
....
893.1
6.1
887.1
....
....
....
2,767.2
....
.9
.3
2,766.0

62.3
....
....
116.5
34.8
81.7
....
26.6
26.6
....
26.4
....
.2
....
....
....
....
....
....
....
....
1,097.5
....
579.6
6.1
1,091.4
....
....
....
3,805.6
....
1.3
.4
3,803.9

65.3
....
....
127.4
47.0
80.4
....
1,120.1
27.1
....
27.1
....
....
....
1,093.0
....
534.5
....
558.5
....
....
649.0
....
649.0
7.0
532.0
....
110.0
....
5,278.0
94.6
.8
.4
5,182.2

60.3
73.3
80.5
....
....
....
....
....
....
109.2
255.3
162.9
19.6
47.8
21.5
89.6
207.5
141.4
....
....
....
1,184.6 1,189.7 2,095.6
27.4
32.4
38.8
....
....
....
27.4
32.4
38.8
....
....
....
....
....
....
....
....
....
1,157.3 1,157.3 2,056.8
....
....
....
549.3
455.7
875.5
....
....
....
608.0
701.6
1,181.3
....
....
....
....
....
....
677.8
752.8
980.3
....
....
....
677.8
752.8
980.3
7.1
10.3
20.5
528.8
599.9
817.4
....
....
....
141.8
142.6
142.5
....
....
....
5,788.6 10,342.5 11,178.2
99.3
124.4
613.2
2.1
718.5
659.6
.5
.5
.6
5,686.7
9,499.1
9,904.7

88.3
....
....
178.3
17.9
160.3
....
2,080.4
56.8
....
56.8
....
....
....
2,023.6
....
763.8
....
1,259.8
....
....
1,098.4
....
1,098.4
18.9
912.8
....
166.7
....
9,192.1
682.5
733.8
.6
7,775.1

. . . . 23,769.7 25,870.2 27,712.4 30,573.6 32,813.3 34,384.7 33,699.6


....
3,753.4 4,329.4 4,538.5 5,002.0 5,577.1 6,635.4 6,716.7
....
3,181.2 3,870.6 4,177.3 4,567.4 4,900.3 5,729.5 5,613.6
....
3,181.2
3,870.6
4,177.3
4,567.4
4,900.3
5,729.5
5,613.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
572.1
458.7
361.3
434.7
676.8
905.9 1,103.1
....
572.1
458.7
361.3
434.7
676.8
905.9
1,103.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
81.7
105.4
420.0 1,039.9 1,232.4 1,837.8 1,518.6
....
81.6
105.4
419.9
395.3
460.9
996.8
753.3
....
....
....
....
....
....
....
....
....
2.3
10.4
262.1
168.8
88.9
558.6
453.1
....
....
....
....
....
....
....
....
....
79.3
94.9
157.8
226.5
372.1
438.2
300.2
226.5
372.1
438.2
300.2
....
....
....
....
....
....
....
.1
644.5
771.5
841.0
765.3
....
....
....
....
....
....
....
....
....
....
....
....
.7
.9
.4
7.0
....
....
....
....
643.8
770.5
840.3
758.1
....
....
....
....
....
....
.2
.2
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
76
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bangladesh

513
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: taka per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
. . . . 19,934.7 21,435.5 22,753.9 24,531.7 26,003.8 25,911.5 25,464.3
....
....
....
....
....
....
....
....
....
67.3
70.9
74.5
72.6
800.2
786.0
783.6
. . . . 19,867.4 21,364.6 22,679.5 24,459.2 25,203.6 25,125.5 24,680.7
....
572.5
804.9
950.5
1,226.4
1,960.9
2,309.8
2,022.1
....
458.2
597.5
529.9
672.3
584.5
699.6
816.9
. . . . 18,260.8 19,176.3 19,568.3 20,710.5 20,850.8 20,515.3 19,544.9
....
575.8
785.9
1,630.8
1,850.0
1,807.5
1,600.8
2,296.7
....
....
....
....
....
....
....
....
. . . . 19,938.6 20,761.7 20,472.6 22,753.1 20,199.8 19,887.2 21,062.1
....

66.210

69.065

68.576

68.920

69.267

70.750

81.853

_______________________________________________________________________________________________________________________________
77
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Barbados

316
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
466.6
358.2
282.3
482.3
261.1
236.4

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

Balance on goods......................................................... 1A9999 B XN

2005

361.5
1,515.6

2006

510.1
1,602.4

2007

525.5
1,699.6

2008

2009

489.4
1,811.0

380.2
1,366.1

985.9

430.6
1,506.6

1,076.0

....
....
....

1,154.1

1,092.4

1,174.1

1,321.6

....
....
....

1,453.6
655.8

1,603.4
692.0

1,700.7
668.6

1,822.6
757.5

1,503.7
710.9

1,638.2
733.8

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

119.9
294.9

531.3

111.1
367.4

437.3

198.2
388.0

331.8

178.5
424.5

502.5

376.7
463.5

279.9

235.0
348.1

284.6

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

131.8
67.2

138.1
59.0

159.2
109.7

113.9
93.7

92.1
73.3

120.5
72.3

....
....

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

466.6

....
....

358.2

....
....

282.3

....
....

482.3

....
....

261.1

....
....

236.4

....
....
....

C. Financial Account......................................... 30999F N AA

....

417.9

202.3

376.8

386.8

356.6

256.6

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

9.1
11.2
2.1

44.4
10.4
34.0

82.2
24.8
57.5

6.2
13.8
7.5

105.8
126.5
20.7

339.8
389.8
50.0

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

238.3
212.1
26.1

342.2
293.6
48.6

451.7
427.4
24.3

462.0
345.9
116.1

458.2
328.4
129.8

668.8
628.1
40.8

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

76.4
53.2
23.2

4.1
14.9
19.0

85.4
34.7
50.6

125.5
8.1
117.4

28.6
36.9
65.5

.9
22.3
23.2

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

108.9
4.8
113.7

51.3
1.6
49.7

33.8
52.5
18.7

2.8
20.1
17.3

98.3
8.7
107.0

97.6
4.1
101.7

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

3.4
1.6
5.0

....
....
....

.1
....
.1

.6
....
.6

.5
.5
....

4.9
4.9
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

297.5
....
297.5

492.1
....
492.1

962.8
....
962.8

261.4
....
261.4

271.8
....
271.8

8.6
....
8.6

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

457.1
....
457.1

48.7

341.2
....
341.2

156.0

1,021.7
....
1,021.7

303.1
....
303.1

395.1
....
395.1

167.2
....
167.2

20.2

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

70.6

131.1

75.2

7.2

28.9

65.5

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

21.9

24.8

169.7

102.7

66.5

45.3

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

22.7
....
.8

21.0
....
3.8

176.3
....
6.6

96.0
....
6.6

68.0
....
1.5

27.3
....
18.0

....
....
....

Conversion rates: Barbados dollars per U.S.


dollar............................................................. RFZ F B

....

2.0000

2.0000

2.0000

2.0000

2.0000

2.0000

2.0000

Balance on goods and services...................................... 1Z9999 B XN

356.3

180.9

142.1

94.5

256.5

95.5

193.1

95.5

171.5

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
78
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Barbados

316
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
465.8
354.4
275.8
475.7
259.6
218.4
GOODS AND SERVICES..................................... 1Z9999 B XN
....
356.3
180.9
142.1
256.5
193.1
171.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
1,815.1
2,113.5
2,226.2
2,312.0
....
2,171.3
2,294.4
2,368.3
2,568.5
. . . . 1,154.1 1,092.4 1,174.1 1,321.6
....
361.5
510.1
525.5
489.4
....
361.5
510.1
525.5
489.4
....
....
....
....
....
....
....
....
....
....
....
1,515.6 1,602.4 1,699.6 1,811.0
....
1,515.6
1,602.4
1,699.6
1,811.0
....
....
....
....
....
....
797.8
911.5 1,032.1 1,065.1
....
1,453.6
1,603.4
1,700.7
1,822.6
....
655.8
692.0
668.6
757.5
....
....
....
....
....
....
....
....
....
....
....
....
.1
1.2
.1
....
....
....
2.1
21.5
....
30.9
34.5
40.4
28.2
7.6
7.2
6.6
6.5
....
5.8
7.2
7.6
7.0
....
....
17.5
20.2
26.2
14.7
....
134.7
143.6
161.4
166.1
56.5
61.7
78.0
74.1
....
....
76.3
80.8
83.1
91.4
1.9
1.2
.3
.6
....
....
1,073.0 1,228.1 1,217.5 1,237.4
....
.1
.1
.1
.5
....
1,072.9
1,228.0
1,217.4
1,236.9
....
216.5
222.1
211.5
204.5
....
27.4
30.8
29.6
18.2
....
189.1
191.3
182.0
186.3
....
349.6
340.8
441.7
556.9
....
3.6
3.5
10.5
2.4
....
84.5
69.5
41.7
63.1
....
9.4
10.1
30.9
11.6
....
1.7
4.2
.4
3.9
....
51.9
23.7
16.3
17.0
....
170.8
205.1
307.5
427.6
....
.2
.1
.8
.5
....
27.5
24.7
33.7
30.8
....
304.5
326.2
293.6
365.5
....
3.3
2.9
12.4
9.5
....
194.1
196.8
101.3
156.8
....
5.9
5.6
7.7
6.4
....
19.1
34.4
26.0
31.8
....
18.8
10.8
23.0
20.5
....
22.4
26.8
60.9
83.2
....
.2
.1
.9
.2
....
40.8
48.8
61.5
57.1
....
....
....
....
....
....
....
....
....
....
....

175.0
119.9
294.9
32.3
3.8
87.6
30.5
30.5
26.9
3.6
....

256.4
111.1
367.4
32.3
4.7
78.7
33.7
33.7
32.1
1.7
....

189.7
198.2
388.0
48.8
9.0
149.5
55.0
53.8
40.5
13.3
1.2

246.0
178.5
424.5
45.9
9.7
132.6
27.3
25.8
11.5
14.3
1.5

2011

1,111.8
.7
1,111.2
215.9
15.7
200.2
350.6
11.9
69.0
.7
2.5
34.3
193.3
.1
38.9
344.5
12.1
108.7
21.3
36.8
39.2
67.1
.3
59.0

77.0
74.7
.5

1,071.0
1.2
1,069.9
274.0
15.7
258.3
540.3
2.8
52.0
19.6
3.4
34.3
390.1
.4
37.6
306.9
10.9
114.5
4.5
19.1
39.2
56.9
.1
61.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

86.8
376.7
463.5
61.6
10.5
315.1
274.1
274.1
143.9
130.2
....

113.1
235.0
348.1
31.0
6.6
204.0
174.5
174.5
165.8
8.7
....

....
....
....
....
....
....
....
....
....
....
....

1,883.9
2,068.9
2,077.0
2,240.4
985.9 1,076.0
380.2
430.6
380.2
430.6
....
....
....
....
1,366.1 1,506.6
1,366.1
1,506.6
....
....
792.8
904.4
1,503.7
1,638.2
710.9
733.8
....
....
....
....
.8
.1
.3
.7
40.4
26.8

9.6
5.5
25.3

3.3
6.0
17.5

150.2

152.2

77.0
72.5
.8

_______________________________________________________________________________________________________________________________
79
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Barbados

316
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

56.9
21.1
....
....
35.8
.3
....
.3
....
....
....
....
291.0
114.6
114.6
92.3
22.3
....
136.9
13.4
....
....
123.4
39.6
....
39.6
....
....
....

44.5
13.9
....
....
30.6
.4
....
.4
....
....
....
....
362.7
208.4
208.4
180.1
28.3
....
117.1
39.9
....
....
77.3
37.2
....
37.2
....
....
....

71.7
10.6
....
....
61.2
22.7
....
22.7
....
....
....
....
379.0
224.5
224.5
192.8
31.7
....
74.0
3.4
....
....
70.7
80.5
....
80.5
....
....
....

70.4
11.5
....
....
58.9
35.0
....
35.0
....
....
....
....
414.8
264.5
260.8
216.1
44.7
3.8
89.0
2.7
....
....
86.4
61.2
....
61.2
....
....
....

35.8
4.7
....
....
31.1
5.2
....
5.2
....
....
....
....
453.1
310.9
293.1
280.1
13.0
17.8
91.1
10.7
....
....
80.5
51.1
....
51.1
....
....
....

21.0
.4
....
....
20.6
8.4
....
8.4
....
....
....
....
341.5
249.8
249.5
222.5
27.1
.2
70.2
.1
....
....
70.1
21.5
....
21.5
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

65.4
132.6
50.8
81.8
62.2
19.6
67.2
8.9
58.3
37.0
21.3

82.9
141.9
73.7
68.2
55.0
13.2
59.0
9.3
49.7
31.0
18.7

56.1
165.8
58.5
107.3
89.9
17.4
109.7
12.8
96.9
46.3
50.6

26.8
120.5
39.1
81.4
55.2
26.2
93.7
18.1
75.6
29.3
46.3

20.3
93.5
24.5
69.0
52.8
16.1
73.3
17.2
56.1
26.7
29.4

66.2
138.5
68.2
70.3
50.9
19.4
72.3
10.9
61.3
28.2
33.1

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

395.2

223.3

200.5

482.9

288.6

283.9

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

229.1
9.1
11.2
7.6
7.6
....
....
3.6
2.1
2.1
....
....

297.8
44.4
10.4
8.7
8.7
....
....
1.7
34.0
34.0
....
....

369.5
82.2
24.8
11.5
11.5
....
....
13.3
57.5
57.5
....
....

468.3
6.2
13.8
28.1
28.1
....
....
14.3
7.5
7.5
....
....

352.4
105.8
126.5
3.8
11.0
7.2
....
130.2
20.7
8.4
29.0
....

329.0
339.8
389.8
381.1
381.1
....
....
8.7
50.0
50.0
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
80
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Barbados

316
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

238.3
212.1
189.8
189.8
....
....
22.3
26.1
26.1
....
....

342.2
293.6
265.3
265.3
....
....
28.3
48.6
48.6
....
....

451.7
427.4
395.7
395.7
....
....
31.7
24.3
24.3
....
....

462.0
345.9
301.2
301.2
....
....
44.7
116.1
116.1
....
....

458.2
328.4
315.3
315.3
....
....
13.0
129.8
65.4
64.4
....

668.8
628.1
601.0
601.0
....
....
27.1
40.8
40.8
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

32.5
76.4
53.2
....
....
....
53.2
....
23.2
....
....
6.5
29.8
....
108.9
4.8
....
....
....
4.8
....
113.7
....
....
105.5
8.3
....

55.4
4.1
14.9
....
....
....
14.9
....
19.0
....
....
11.0
30.1
....
51.3
1.6
....
....
....
1.6
....
49.7
....
....
45.9
3.8
....

51.6
85.4
34.7
....
....
....
34.7
....
50.6
....
....
24.1
26.6
....
33.8
52.5
....
....
....
52.5
....
18.7
....
....
19.1
.3
....

122.6
125.5
8.1
....
....
....
8.1
....
117.4
....
....
47.9
69.5
....
2.8
20.1
....
....
....
20.1
....
17.3
....
....
19.5
2.2
....

126.9
28.6
36.9
....
....
....
36.9
....
65.5
....
....
69.7
4.2
....
98.3
8.7
....
....
....
8.7
....
107.0
....
....
111.8
4.8
....

98.5
.9
22.3
....
....
....
22.3
....
23.2
....
....
....
23.2
....
97.6
4.1
....
....
....
4.1
....
101.7
5.0
....
95.8
.9
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

3.4
1.6
5.0

....
....
....

.1
....
.1

.6
....
.6

.5
.5
....

4.9
4.9
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

159.7
297.5
....
297.5
....
135.0
.2
162.2
....
457.1
....
....
457.1
....
247.2
3.3
213.2
....

150.9
492.1
....
492.1
....
131.4
3.3
364.0
....
341.2
....
....
341.2
....
59.7
1.4
282.8
....

59.0
962.8
....
962.8
....
621.5
1.5
339.8
....
1,021.7
....
....
1,021.7
....
618.8
59.2
343.7
....

41.7
261.4
....
261.4
....
140.9
1.0
401.3
....
303.1
....
....
303.1
....
25.7
7.6
269.8
....

123.3
271.8
....
271.8
.5
460.3
.9
189.9
....
395.1
....
88.0
483.1
....
395.1
22.0
109.9
....

175.9
8.6
....
8.6
2.5
104.8
.6
115.3
....
167.2
....
....
167.2
....
218.3
52.4
1.3
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

22.7
....
....
.2
22.5

21.0
....
....
.2
21.2

176.3
....
.1
.2
176.0

96.0
....
....
.1
96.1

68.0
....
88.0
.1
20.1

27.3
....
....
.1
27.4

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

70.6

131.1

75.2

7.2

28.9

65.5

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
81
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Barbados

316
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
....
....
. . . . 32,742.0 31,088.7 50,327.0
Direct investment............................................. 8A9999 A AA
....
....
....
....
3,784.6 4,018.9 4,814.2
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
3,633.0 3,812.3 4,316.1
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
7.6
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
8.2
....

....
3,441.8
3,584.8
4,316.1
....
191.2
227.5
....
....
....
....
....
....
151.6
206.7
498.1
....
120.0
137.2
74.7
....
31.5
69.5
423.4
....
....
....
....
. . . . 19,873.7 18,368.5 19,197.3
....
1,910.9 2,792.2 2,036.9
....
....
....
....
....
3.5
4.0
1,616.4
....
3.1
2.2
....
....
1,904.3
2,786.0
420.4
....
....
....
....
. . . . 17,962.8 15,576.3 17,160.5
....
....
....
....
....
424.7
421.4
6,629.8
....
216.1
146.4
146.4
. . . . 17,322.0 15,008.5 10,384.3
....
....
....
....
....
165.5
140.4
174.2
....
8,042.9 7,642.3 25,194.8
....
....
....
....
....
8,042.9 7,642.3 25,194.8
....
....
....
....
....
1,240.3
407.8 14,585.1
....
2.6
1.7
5.5
....
6,800.1
7,232.8 10,604.2
....
....
....
....
....
875.3
918.5
946.4
....
....
....
....
.1
.1
88.3
86.7
8.8
8.7
9.0
8.9
....
866.5
821.1
850.7

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
86.4
8.9
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

. . . . 22,159.0 21,257.6 43,038.9


....
2,872.4 2,952.1 15,343.3
....
1,144.6 1,321.6 12,057.3
....
1,124.6
1,301.6 11,734.2
....
20.0
20.0
323.1
....
....
....
....
....
1,727.7 1,630.5 3,286.0
....
1,221.8
1,209.0
3,279.8
....
505.9
421.5
6.2
....
....
....
....
....
741.9
847.6 4,264.7
....
68.0
60.4
666.7
....
....
....
....
....
....
....
86.6
....
....
....
....
....
68.0
60.4
580.1
....
....
....
....
....
673.9
787.2 3,598.1
....
....
....
....
....
1.4
1.5
148.4
....
498.7
610.5
706.3
....
173.8
175.2
2,743.4
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
82
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Barbados

316
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Barbados dollars per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2010

2011

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
.1
....
....
. . . . 18,544.6 17,457.9 23,430.9
....
....
....
....
....
12.4
100.9
99.1
. . . . 18,532.2 17,356.9 23,331.7
....
....
....
85.8
....
1,569.0
995.8
6,592.1
....
348.1
363.4
563.6
. . . . 16,615.2 15,997.8 16,261.9
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....

....

....

. . . . 10,583.0

....

2.0000

2.0000

2.0000

2008

2.0000

2009

9,831.1

7,288.0

....

2.0000

2.0000

2.0000

_______________________________________________________________________________________________________________________________
83
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belarus

913
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis

A. Current Account..........................................

458.6 1,388.0 3,012.4 4,958.6 6,132.7 8,280.2 5,121.0

10999F B XN

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

15,194.0
16,053.7

859.7

2,454.5

4,274.8

6,494.1

7,104.9

9,288.7

3,601.6

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

2,342.3
1,141.0

341.6

2,673.9
1,711.1

1,491.7

3,564.6
2,098.9

2,809.1

4,618.5
2,769.1

4,644.7

3,748.0
2,238.3

5,595.2

4,834.2
3,026.1

7,480.6

5,781.3
3,403.2

1,223.5

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

168.4
216.1

293.9

246.1
346.3

1,591.9

274.3
648.0

3,182.8

631.6
1,116.3

5,129.4

474.2
1,285.8

6,406.8

464.6
1,580.8

8,596.8

757.7
2,044.2

2,510.0

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

266.8
102.1

316.6
112.7

330.2
159.8

400.6
229.8

505.5
231.4

885.0
568.4

1,743.3
4,354.3

B. Capital Account........................................... 20999F B AA

....

....

.1

.1

.5

....

....

4.1

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

.1
....

.1
....

.5
....

....
....

....
....

4.6
.5

C. Financial Account......................................... 30999F N AA

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

2.5
2.9
.4

3.0
2.4
.6

15.2
13.6
1.6

30.6
27.3
3.3

102.3
68.7
33.6

50.6
57.7
7.1

125.5
63.6
61.9

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

306.6
313.7
7.1

357.1
363.3
6.2

1,807.3
1,643.7
163.6

2,187.9
2,016.1
171.8

1,876.5
1,822.6
53.9

1,393.4
1,347.5
45.9

4,002.4
3,773.2
229.2

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

2.9
....
2.9

1.7
5.6
3.9

41.2
5.8
35.4

4.8
.9
3.9

16.5
1.8
18.3

59.4
.2
59.2

10.8
1.7
12.5

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

38.6
.6
39.2

24.7
1.2
23.5

2.4
4.5
2.1

.5
.7
.2

2.3
1.2
1.1

1,245.0
.7
1,244.3

864.9
.1
865.0

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

.2
1.6
1.8

12.9
.1
13.0

....
....
....

....
....
....

....
....
....

....
....
....

594.6
1.7
592.9

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

492.2
....
492.2

166.1
....
166.1

1,931.7
....
1,931.7

477.0
....
477.0

507.6
....
507.6

1,178.2
....
1,178.2

2,672.9
....
2,672.9

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

192.7
....
192.7

421.5

1,524.2
....
1,524.2

5,439.5
....
5,439.5

2,464.1
....
2,464.1

4,018.1
....
4,018.1

4,750.9
....
4,750.9

5,341.1
....
5,341.1

D. Net Errors and Omissions............................. 40999S N AA

....

126.6

286.4

529.3

193.3

E. Reserves and Related Items.......................... 4Z999S N AA

....

548.1

1.4

2,778.1 1,001.7

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

539.2
8.9
....

1.4
....
....

2,778.1
....
....

1,001.7
....
....

2,441.5
2,855.9
....

808.4
668.9
....

2,790.5
....
....

Conversion rates: rubels per U.S. dollar........... RFZ F B

....

2,153.8

2,144.6

2,146.1

2,136.4

2,793.0

2,978.5

4,974.6

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

458.6

18,895.8
21,350.3

1,387.9

23,309.6
27,584.4

3,012.3

31,627.4
38,121.5

4,958.1

20,595.4
27,700.3

6,132.7

24,506.1
33,794.8

8,280.2

40,772.5
44,374.1

5,116.9

37.1 1,672.9 5,261.1 4,149.7 5,303.5 6,101.1 6,804.6

285.0

2,248.8

808.4

829.2

2,179.1

1,687.7

414.8

701.7

1,102.8

414.4 1,477.4

2,790.5

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
84
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belarus

913
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis


CURRENT ACCOUNT.......................................... 109999 B XN
....
458.6 1,388.0 3,012.4 4,958.6 6,132.7 8,280.2 5,121.0
GOODS AND SERVICES..................................... 1Z9999 B XN
....
341.6 1,491.7 2,809.1 4,644.7 5,595.2 7,480.6 1,223.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 17,536.3 21,569.7 26,874.2 36,245.9 24,343.4 29,340.3 46,553.8


. . . . 17,194.7 23,061.4 29,683.3 40,890.6 29,938.6 36,820.9 47,777.3
....
859.7 2,454.5 4,274.8 6,494.1 7,104.9 9,288.7 3,601.6
. . . . 15,194.0 18,895.8 23,309.6 31,627.4 20,595.4 24,506.1 40,772.5
. . . . 15,194.0 18,895.8 23,309.6 31,627.4 20,595.4 24,506.1 40,772.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
. . . . 16,053.7 21,350.3 27,584.4 38,121.5 27,700.3 33,794.8 44,374.1
. . . . 16,053.7 21,350.3 27,584.4 38,121.5 27,700.3 33,794.8 44,374.1
....
....
....
....
....
....
....
....
....
1,201.3
962.8 1,465.7 1,849.4 1,509.7 1,808.1 2,378.1
....
2,342.3
2,673.9
3,564.6
4,618.5
3,748.0
4,834.2
5,781.3
....
1,141.0
1,711.1
2,098.9
2,769.1
2,238.3
3,026.1
3,403.2
....
237.2
227.3
259.0
263.6
177.9
191.6
217.8
....
3.0
8.8
3.7
6.6
5.2
6.9
6.1
....
71.8
45.0
41.0
93.7
66.8
107.1
72.4
....
32.8
23.2
37.8
66.8
50.8
65.6
60.3
....
1,341.2 1,714.1 2,351.3 2,991.4 2,282.3 2,998.9 3,532.8
92.5
115.3
155.4
221.7
193.1
224.6
258.0
....
....
1,133.1
1,439.7
2,019.0
2,542.2
1,920.0
2,580.4
3,035.8
....
115.6
159.1
176.9
227.5
169.2
193.9
239.0
....
310.4
679.5
888.8 1,257.1
818.9 1,380.6 1,515.3
68.3
88.6
117.8
143.8
113.4
126.4
141.2
....
....
185.2
495.3
658.0
953.1
599.9
1,088.7
1,185.8
....
56.9
95.6
113.0
160.2
105.6
165.5
188.3
....
253.1
286.3
323.6
362.9
369.8
440.4
641.9
....
104.9
110.9
119.3
136.2
134.5
140.1
214.1
....
148.2
175.4
204.3
226.7
235.3
300.3
427.8
....
447.5
586.4
606.0
716.4
638.5
621.5
599.8
....
97.9
127.3
133.6
206.9
186.8
158.9
185.1
....
349.6
459.1
472.4
509.5
451.7
462.6
414.7
....
439.0
401.2
589.7
906.9
851.2 1,096.2 1,316.4
....
60.1
47.7
82.1
96.4
69.3
151.1
227.2
....
1.1
4.3
3.7
2.5
1.8
17.0
15.9
....
2.9
5.7
7.7
18.1
11.1
12.4
16.0
....
3.1
5.9
3.1
4.7
9.5
8.5
22.8
....
116.7
151.0
216.6
301.8
310.6
390.3
457.2
....
235.2
165.5
248.7
434.3
402.6
467.1
521.0
....
2.4
4.9
7.8
12.7
14.8
15.4
19.8
....
17.5
16.2
20.0
36.4
31.5
34.4
36.5
....
347.3
413.2
562.6
722.2
724.9
951.5 1,221.7
....
19.9
27.4
52.5
41.0
84.6
163.2
320.0
....
5.3
5.3
6.2
5.2
2.6
9.2
11.8
....
41.6
51.2
90.9
143.9
146.0
149.3
173.2
....
19.5
50.5
52.5
75.2
76.0
102.7
90.2
....
82.6
92.9
95.1
119.8
118.1
155.4
184.7
....
130.4
150.1
222.3
297.4
269.4
339.0
414.2
....
11.2
15.5
20.9
26.8
18.5
25.8
22.5
....
36.8
20.3
22.2
12.9
9.7
6.9
5.1
....
....
....
....
....
....
....
....
....
....
....

47.7
168.4
216.1
120.1
.3
48.3
1.3
1.3
1.3
....
....

100.2
246.1
346.3
175.4
2.5
70.7
1.0
1.0
1.0
....
....

373.7
274.3
648.0
156.6
5.0
117.7
1.9
1.9
1.8
.1
....

484.7
631.6
1,116.3
413.8
11.3
217.8
7.3
7.3
7.0
.3
....

811.6 1,116.2 1,286.5


474.2
464.6
757.7
1,285.8
1,580.8
2,044.2
333.7
327.7
591.2
10.0
11.9
12.4
140.5
136.9
166.5
67.4
56.4
95.3
67.4
56.4
95.3
61.8
52.9
81.9
5.6
3.5
13.4
....
....
....

_______________________________________________________________________________________________________________________________
85
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belarus

913
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.7
.6
.6
....
.1
16.9
....
16.9
....
29.4
....
29.4
215.8
134.9
124.2
91.6
32.6
10.7
4.0
4.0
4.0
....
....
76.9
....
76.9
....
....
....

1.6
1.3
1.3
....
.3
28.7
....
28.7
....
39.4
....
39.4
343.8
236.3
224.7
166.3
58.4
11.6
1.8
1.7
1.7
....
.1
105.7
....
105.7
....
....
....

.9
.9
.9
....
....
44.9
....
44.9
....
70.0
....
70.0
643.0
434.8
419.2
234.0
185.2
15.6
4.1
4.1
4.1
....
....
204.1
....
204.1
....
....
....

3.5
3.2
3.2
....
.3
80.4
....
80.4
....
126.6
....
126.6
1,105.0
682.1
659.5
398.4
261.1
22.6
2.9
2.9
2.9
....
....
420.0
....
420.0
....
....
....

17.0
13.7
13.7
....
3.3
52.0
....
52.0
....
4.1
....
4.1
1,275.8
871.5
850.9
433.2
417.7
20.6
5.8
2.9
2.9
....
2.9
398.5
....
398.5
....
....
....

12.5
8.5
8.5
....
4.0
56.8
....
56.8
....
11.2
....
11.2
1,568.9
1,039.1
1,012.1
539.0
473.1
27.0
5.0
1.3
1.3
....
3.7
524.8
....
524.8
....
....
....

8.5
2.5
2.5
....
6.0
55.5
....
55.5
....
7.2
....
7.2
2,031.8
1,185.7
1,185.2
618.5
566.7
.5
110.5
.8
.8
....
109.7
735.6
....
735.6
....
....
....

....
....
....
....
....
....
....
....
....
....
....

164.7
266.8
59.1
207.7
78.5
129.2
102.1
9.4
92.7
51.9
40.8

203.9
316.6
100.5
216.1
90.1
126.0
112.7
4.6
108.1
67.8
40.3

170.4
330.2
92.9
237.3
128.3
109.0
159.8
4.8
155.0
96.6
58.4

170.8
400.6
102.9
297.7
164.0
133.7
229.8
7.2
222.6
156.9
65.7

274.1
505.5
135.5
370.0
165.2
204.8
231.4
11.7
219.7
120.8
98.9

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

.1
....
....
.1
....
....
....
.1
....
....
....
....
....

.1
....
....
.1
....
....
....
.1
....
....
....
....
....

.5
....
....
.5
....
....
....
.5
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

316.6 2,611.0
885.0 1,743.3
537.4
1,356.7
347.6
386.6
198.8
222.8
148.8
163.8
568.4 4,354.3
372.5
4,111.8
195.9
242.5
86.5
106.4
109.4
136.1
....
....
....
....
....
....
....
....
....
....
....
....
....

4.1
....
....
4.6
....
....
....
4.6
.5
....
....
....
.5

585.2 1,674.3 2,483.0 5,151.4 5,717.9 7,578.5 4,014.1


304.1
2.5
2.9
2.9
2.9
....
....
....
.4
.4
....
....

354.1 1,792.1 2,157.3 1,774.2 1,342.8 3,876.9


3.0
15.2
30.6
102.3
50.6
125.5
2.4
13.6
27.3
68.7
57.7
63.6
2.4
13.5
27.0
63.1
54.2
50.2
2.4
13.5
27.0
63.1
54.2
50.2
....
....
....
....
....
....
....
....
....
....
....
....
....
.1
.3
5.6
3.5
13.4
.6
1.6
3.3
33.6
7.1
61.9
.6
1.6
3.3
33.6
7.1
61.9
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
86
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belarus

913
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

306.6
313.7
281.1
281.1
....
....
32.6
7.1
7.1
....
....

357.1
363.3
304.9
304.9
....
....
58.4
6.2
6.2
....
....

1,807.3
1,643.7
1,458.5
1,458.5
....
....
185.2
163.6
163.6
....
....

2,187.9
2,016.1
1,755.0
1,755.0
....
....
261.1
171.8
171.8
....
....

1,876.5
1,822.6
1,404.9
1,404.9
....
....
417.7
53.9
53.9
....
....

1,393.4
1,347.5
874.4
874.4
....
....
473.1
45.9
45.9
....
....

4,002.4
3,773.2
3,206.5
3,206.5
....
....
566.7
229.2
229.2
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

41.5
2.9
....
....
....
....
....
....
2.9
....
2.4
....
.5
....
38.6
.6
....
1.1
....
.5
....
39.2
.1
3.4
33.2
2.7
....

26.4
1.7
5.6
....
1.2
....
4.4
....
3.9
....
7.5
....
3.6
....
24.7
1.2
....
1.3
....
.1
....
23.5
....
....
23.5
....
....

38.8
41.2
5.8
....
.5
....
5.3
....
35.4
....
29.2
....
6.2
....
2.4
4.5
....
3.6
....
.9
....
2.1
....
....
1.7
.4
....

5.3
4.8
.9
....
.4
....
.5
....
3.9
....
10.1
....
6.2
....
.5
.7
....
.4
....
1.1
....
.2
.1
.1
.2
....
....

18.8 1,185.6
16.5
59.4
1.8
.2
....
....
1.3
.4
.1
....
.4
.6
....
....
18.3
59.2
....
....
18.8
59.4
....
....
.5
.2
....
....
2.3 1,245.0
1.2
.7
....
....
....
.1
....
....
1.2
.6
....
....
1.1 1,244.3
....
....
1.0
14.7
.1
1,229.6
....
....
....
....

854.1
10.8
1.7
....
1.6
.1
....
....
12.5
....
12.5
....
....
....
864.9
.1
....
....
....
.1
....
865.0
....
63.3
800.0
1.7
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

.2
1.6
1.8

12.9
.1
13.0

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

308.4 1,358.1 3,507.8 1,987.1 6,366.4 4,241.6 2,668.2


492.2
166.1 1,931.7
477.0
507.6 1,178.2 2,672.9
....
....
....
....
....
....
....
492.2
166.1 1,931.7
477.0
507.6 1,178.2 2,672.9
72.9
15.4
185.4
20.8
227.6
667.9
1,102.4
232.6
257.5
775.4
74.7
186.5
47.8
817.9
....
....
7.3
198.5
101.2
101.1
3.3
332.5
408.2
963.6
183.0
649.9
563.6
755.9
5.7
6.2
....
....
....
....
....
183.8 1,524.2 5,439.5 2,464.1 6,874.0 5,419.8 5,341.1
....
....
....
....
....
....
....
....
....
....
....
576.6
....
....
183.8 1,524.2 5,439.5 2,464.1 6,297.4 5,419.8 5,341.1
65.7
....
590.0
155.9
1.9
1,449.6
263.0
219.8
534.5
1,075.1
530.8
483.2
2,295.9
474.1
107.6
3.4
1,419.9
1,397.1
4,182.2
529.3
1,519.0
77.9
986.3
2,354.5
692.1
1,633.9
1,145.0
3,085.0
3.6
6.1
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

539.2
90.4
....
....
448.8

1.4
80.1
....
....
81.5

NET ERRORS AND OMISSIONS.........................

....

126.6

286.4

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

2,778.1 1,001.7
34.7
5.8
....
1.0
....
....
2,812.8 1,008.5
529.3

193.3

....
....
....

....
....
....

594.6
1.7
592.9

2,441.5
295.4
576.0
....
1,570.1

808.4
538.2
....
....
1,346.6

2,790.5
169.7
6.6
....
2,614.2

414.8

701.7

1,102.8

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
87
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belarus

913
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

Data reported to the IMF on a BPM6 basis


ASSETS.............................................................. 80999S A AA
....
3,288.9 3,583.4 8,592.3
Direct investment............................................. 8A9999 A AA
....
13.9
18.5
46.3
Equity and investment fund shares................. 8AA000 A AA
....
12.4
16.6
36.6
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

36.6
....
....
9.7
9.7
....
....
65.8
13.1
....
2.1
....
11.0
....
52.7
....
42.5
....
10.2
....
....
4,297.9
....
4,297.9
552.4
1,199.9
7.3
2,538.3
....
4,182.3
230.0
....
....
3,952.2

2008

2009

2010

2011

7,771.3 11,001.9 11,681.8 17,360.9


72.4
144.6
204.8
290.4
66.4
137.7
193.1
234.0
66.4
137.7
193.1
234.0
....
....
....
....
....
....
....
....
6.0
6.9
11.7
56.4
6.0
6.9
11.7
56.4
....
....
....
....
....
....
....
....
61.5
43.4
101.7
111.2
12.9
13.1
12.8
10.7
....
....
....
....
1.4
2.7
2.3
.5
....
.1
.1
....
11.5
10.3
10.4
10.2
....
....
....
....
48.6
30.3
88.9
100.5
....
....
....
....
32.3
13.5
72.3
84.1
....
....
....
....
16.3
16.8
16.6
16.4
....
....
....
....
....
....
....
.2
4,576.3 5,161.4 6,344.5 9,043.2
....
....
....
....
4,576.3 5,161.4 6,344.5 9,043.2
417.2
227.0
966.3
2,131.6
1,249.4
1,422.0
1,419.8
2,200.6
205.8
104.6
3.6
.3
2,703.9
3,407.8
3,954.8
4,710.7
8.0
13.9
5.6
....
3,061.1 5,652.5 5,030.8 7,915.9
374.1
821.1
1,599.8
1,904.7
1.0
578.4
567.7
572.4
....
....
....
....
2,686.0
4,253.0
2,863.2
5,438.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

12.4
....
....
1.5
1.5
....
....
21.3
.3
....
.1
....
.2
....
21.0
....
20.3
....
.7
....
....
1,957.1
....
1,957.1
126.5
665.1
....
1,165.5
....
1,296.6
190.0
....
....
1,106.5

16.6
....
....
1.9
1.9
....
....
23.0
5.9
....
1.3
....
4.6
....
17.1
....
13.1
....
4.0
....
....
2,158.9
....
2,158.9
162.9
415.9
....
1,580.1
....
1,383.0
314.4
....
....
1,068.5

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7,184.7
2,382.8
2,030.9
2,030.9
....
....
351.9
351.9
....
....
52.4
18.7
....
10.9
....
7.8
....
33.7
.1
6.2
25.7
1.7
....

9,200.6 16,501.2 21,160.4 29,846.8 37,527.1 46,094.7


2,734.3 4,483.0 6,682.7 8,536.7 9,904.2 12,986.8
2,337.9 3,981.2 5,977.2 7,751.6 9,081.7 12,000.9
2,337.9
3,981.2
5,977.2
7,751.6
9,081.7 12,000.9
....
....
....
....
....
....
....
....
....
....
....
....
396.4
501.8
705.5
785.1
822.5
985.9
396.4
501.8
705.5
785.1
822.5
978.0
....
....
....
....
....
7.9
....
....
....
....
....
....
32.1
37.2
50.3
46.6 1,281.3 2,139.9
18.6
23.2
29.2
24.4
24.7
24.4
....
....
....
....
....
....
9.6
13.2
12.8
12.8
12.9
12.9
....
....
....
....
....
....
9.0
10.0
16.4
11.6
11.8
11.5
....
....
....
....
....
....
13.5
14.0
21.1
22.2 1,256.6 2,115.5
.1
.1
....
....
....
....
6.2
6.2
6.3
7.3
22.0
85.3
2.3
.6
.4
.5
1,230.1
2,022.3
4.9
7.1
14.4
14.4
4.5
7.9
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
88
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belarus

913
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: rubels per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

....
....
....
....
....
....
....
....
....
....

7.1
4,742.4
....
....
4,742.4
.6
942.0
581.1
3,218.7
....

....
....

2006

2007

2008

2009

2010

2011

....
....
....
....
18.2
46.3
6,434.2 11,981.0 14,427.4 21,263.5 26,323.4 30,921.7
....
....
....
....
....
....
....
....
....
577.9
567.7
566.0
6,434.2 11,981.0 14,427.4 20,685.6 25,755.7 30,355.7
.6
596.1
429.9
423.8
1,855.3
1,529.7
1,480.6
2,564.8
3,074.9
3,545.7
5,730.1
5,992.1
586.7
2,035.7
3,596.7
7,795.0
8,259.9
9,762.7
4,366.3
6,784.4
7,325.9
8,921.1
9,910.4 13,071.2
4.0
7.8
1.8
....
....
....

3,895.8 5,617.2 7,908.9 13,389.1 18,844.8 25,845.4 28,733.8


2,152.0

2,140.0

2,150.0

2,200.0

2,863.0

3,000.0

8,350.0

_______________________________________________________________________________________________________________________________
89
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belgium

124
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
7,703
7,545
7,041
7,110
6,561
8,423

7,102

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

228,049
224,172

246,876
244,014

287,771
285,412

324,404
336,121

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

57,272
52,500

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

59,028
53,604

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

2,359

320,700
334,993

14,292

247,025
251,527

271,147
275,833

4,685

11,717

60,542
54,269

74,000
69,971

6,388

87,526
84,196

10,962

85,810
78,837

92,884
83,450

4,749

96,211
92,187

7,693

14,072

74,277
69,325

14,087

100,086
93,075

107,886
95,143

73,367
73,687

2,151

69,736
57,878

16,607

76,064
66,394

....
....

9,356
15,725

8,810
15,353

9,885
16,243

11,150
20,041

11,130
19,842

11,712
19,896

12,259
21,337

B. Capital Account........................................... 20999F B AA

....

894

405

1,882

2,619

2,089

1,098

1,297

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

399
1,293

6,809

984
1,389

284
2,166

839
3,458

854
2,943

811
1,910

509
1,806

C. Financial Account......................................... 30999F N AA

....

11,397

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

32,545
25,661
6,884

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

33,684
35,435
1,751

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

3,876

8,648

2,862

9,135

1,781

2,471

5,159

9,729

8,649

7,514

6,255

10,153

50,140
25,355
24,785

83,492
54,306
29,187

213,613
25,375
188,238

58,828
65,039
6,211

96,588
79,875
16,713

43,491
20,449
23,043

26,529
19,980
6,548

....
....
....

1,215
5,712
6,927

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

1,976

7,325

8,399

15,289

7,803

7,830

10,627
22,296
11,669

42,420
8,710
33,710

81,322
40,664
40,658

184,842
147,423
37,418

65,835
67,283
1,448

86,909
95,877
8,968

102,000
46,522
55,477

80,503
20,401
60,102

295
31,861
32,156

18,624
3,152
15,472

6,892
5,343
1,549

4,995
4,461
534

17,348
4,588
12,760

37,481
3,360
34,121

48,102
8,818
39,285

21,625
3,242
24,867

19,422
4,840
14,582

22,895
4,200
18,695

5,448
9,647
4,199

3,372
1,497
4,870

1,424
....
....

5,809
....
....

724
....
....

1,758
....
....

2,766
....
....

....
....
....

87,399
....
87,399

91,915
....
91,915

158,361
....
158,361

73,479 116,884
....
....
73,479 116,884

12,384
....
12,384

33,171
....
33,171

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

125,017
....
125,017

81,520
....
81,520

180,608
....
180,608

88,171 197,775
....
....
88,171 197,775

40,119
....
40,119

40,990
....
40,990

D. Net Errors and Omissions............................. 40999S N AA

....

2,413

530

2,322

1,741

328

1,297

2,068

E. Reserves and Related Items.......................... 4Z999S N AA

....

2,176

156

1,226

1,316

6,968

819

1,499

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

2,176
....
....

156
....
....

1,226
....
....

1,316
....
....

6,968
....
....

819
....
....

1,499
....
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

4,588

7,140

13,399

4,502

375

1,096

424

6,640

478

569

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
90
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belgium

124
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
7,703
7,545
7,041
7,110
6,561
8,423
GOODS AND SERVICES..................................... 1Z9999 B XN
....
8,648
9,135
6,388 10,962
2,471
4,749
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

285,320
276,672
3,876
228,049
225,738
1,827
483
224,172
223,849
323
4,772
57,272
52,500
2,568
1,069
387
259
14,659

307,418
298,283
2,862
246,876
244,285
1,759
831
244,014
243,450
564
6,273
60,542
54,269
2,384
712
402
305
16,362

361,771
355,383
2,359
287,771
280,979
6,243
549
285,412
285,209
203
4,029
74,000
69,971
4,973
772
628
331
24,016

408,227
419,189
14,292
320,700
313,593
6,435
673
334,993
334,531
462
3,330
87,526
84,196
4,914
503
600
406
28,423

332,835
330,364
4,502
247,025
240,665
5,549
811
251,527
250,920
607
6,973
85,810
78,837
3,914
494
653
232
22,372

364,031
359,282
4,685
271,147
266,427
3,843
877
275,833
274,969
863
9,434
92,884
83,450
4,336
431
646
340
26,759

7,102
7,693
420,615
428,309
11,717
324,404
319,023
3,321
2,061
336,121
334,818
1,303
4,024
96,211
92,187
3,340
328
709
484
26,861

12,630

13,455

19,706

23,009

17,791

21,388

22,368

9,845
1,773
8,071
14,948
2,129
12,819
29,813
1,906
829
3,397
1,360
4,000
15,750
518
2,052
23,594
849
511
3,506
1,050
2,823
13,621
470
764

10,311
1,936
8,375
15,574
2,292
13,281
31,083
2,230
933
3,613
1,542
4,198
15,703
558
2,307
24,224
939
551
3,451
1,077
3,163
13,680
498
864

11,017
2,303
8,714
17,506
2,835
14,671
33,366
1,087
1,096
3,706
1,679
5,974
17,099
484
2,241
31,657
800
806
2,658
1,998
4,607
20,028
566
195

11,788
2,763
9,025
19,859
3,088
16,771
41,802
1,568
1,260
3,968
1,167
6,947
24,131
589
2,173
40,418
972
1,111
3,341
1,876
5,251
26,793
797
277

10,246
2,382
7,864
20,480
2,991
17,489
48,624
2,568
1,253
3,969
2,556
7,490
28,248
642
1,898
39,840
1,784
1,112
1,993
1,933
5,784
26,276
725
233

10,337
2,428
7,909
18,829
2,933
15,896
50,806
2,677
1,112
3,365
2,336
7,624
31,216
662
1,814
42,462
2,309
1,169
1,918
1,902
5,679
28,402
850
232

11,661
2,784
8,877
22,301
3,155
19,146
53,640
2,815
1,207
3,806
2,572
8,788
31,603
751
2,099
46,707
2,542
1,311
2,284
2,618
6,659
30,091
889
313

....
....
....
....
....
....
....
....
....
....
....

5,424
59,028
53,604
6,868
2,012
52,160
17,287
10,885
6,226
4,659
6,402

4,952
74,277
69,325
7,239
2,135
67,038
25,321
17,484
8,908
8,576
7,837

7,011
100,086
93,075
8,879
2,727
91,206
33,038
21,662
12,005
9,657
11,375

12,743
107,886
95,143
10,278
3,463
97,608
27,190
14,384
12,815
1,569
12,807

320
73,367
73,687
10,304
3,623
63,062
23,158
16,413
11,978
4,436
6,744

11,858
69,736
57,878
10,173
3,558
59,563
24,468
18,177
12,715
5,462
6,291

9,670
76,064
66,394
10,743
3,821
65,321
25,617
18,898
13,209
5,689
6,719

1,036
9,551
4,072
1,823
8,702
2,104

1,314
10,327
4,721
2,317
8,932
2,206

1,354
14,067
8,595

1,709
11,505
6,492

1,318
17,806
9,299

1,586
15,550
5,873

1,254
12,618
8,499

1,812
10,784
5,195

1,287
15,680
9,792

2,047
13,473
5,868

1,367
15,951
9,542

2,049
13,496
6,823

_______________________________________________________________________________________________________________________________
91
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belgium

124
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

22,468
4,966
....
....
17,502
12,405
....
12,405
....
....
....
....
51,593
22,522
19,288
14,210
5,078
3,234
12,261
1,245
....
....
11,015
16,810
....
16,810
....
....
....

23,616
5,635
....
....
17,981
18,101
....
18,101
....
....
....
....
67,191
30,804
26,990
15,742
11,247
3,815
12,840
1,593
....
....
11,246
23,547
....
23,547
....
....
....

26,670
6,083
....
....
20,587
31,499
....
31,499
....
....
....
....
90,348
36,627
32,288
19,103
13,185
4,339
16,262
2,213
....
....
14,049
37,459
....
37,459
....
....
....

29,030
7,300
....
....
21,730
41,387
....
41,387
....
....
....
....
91,680
31,074
25,999
25,685
314
5,075
17,004
2,787
....
....
14,217
43,602
....
43,602
....
....
....

22,404
6,824
....
....
15,580
17,501
....
17,501
....
....
....
....
70,063
42,549
40,405
28,623
11,782
2,144
14,244
3,105
....
....
11,139
13,270
....
13,270
....
....
....

22,131
7,244
....
....
14,887
12,965
....
12,965
....
....
....
....
54,320
34,321
31,947
20,282
11,665
2,374
11,568
2,200
....
....
9,369
8,431
....
8,431
....
....
....

24,297
7,526
....
....
16,771
15,407
....
15,407
....
....
....
....
62,573
39,165
36,333
24,685
11,647
2,832
13,886
2,678
....
....
11,209
9,522
....
9,522
....
....
....

....
....
....
....
....
....
....
....
....
....
....

6,369
9,356
3,297
6,059
20
6,040
15,725
8,018
7,707
416
7,292

6,542
8,810
3,010
5,800
27
5,774
15,353
8,325
7,027
429
6,598

6,358
9,885
2,159
7,725
114
7,611
16,243
8,411
7,831
476
7,356

8,891
11,150
2,559
8,591
139
8,452
20,041
9,910
10,131
585
9,546

8,712
11,130
2,688
8,442
137
8,305
19,842
9,339
10,503
614
9,889

8,184
11,712
2,370
9,342
123
9,218
19,896
9,348
10,548
594
9,954

9,078
12,259
2,669
9,590
169
9,420
21,337
9,729
11,608
710
10,898

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

894
7
268
391
4
....
4
388
1,024
201
25
176
824

405
758
668
226
....
....
....
226
721
208
50
158
512

1,882
238
1,341
47
47
....
47
....
825
722
166
556
103

2,619
567
2,573
273
273
....
273
....
885
785
41
744
100

2,089
316
2,057
538
259
....
259
278
886
780
22
757
106

1,098
464
669
348
348
....
348
....
1,241
690
21
668
552

1,297
187
303
322
33
....
33
289
1,502
924
22
901
579

FINANCIAL ACCOUNT........................................ 30999S N AA

....

9,221

7,670

7,481

11,469

8,321

8,622

6,331

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

1,139
32,545
25,661
21,001
21,001
....
....
4,659
6,884
6,884
....
....

8,688
50,140
25,355
16,778
16,778
....
....
8,576
24,785
24,785
....
....

13,096
83,492
54,306
44,648
44,648
....
....
9,657
29,187
29,187
....
....

28,771
213,613
25,375
23,806
23,806
....
....
1,569
188,238
188,238
....
....

55,207
10,627
22,296
17,860
17,860
....
....
4,436
11,669
11,669
....
....

44,489
42,420
8,710
3,248
3,248
....
....
5,462
33,710
33,710
....
....

20,677
81,322
40,664
34,976
34,976
....
....
5,689
40,658
40,658
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
92
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belgium

124
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

33,684
35,435
30,357
30,357
....
....
5,078
1,751
1,751
....
....

58,828
65,039
53,791
53,791
....
....
11,247
6,211
6,211
....
....

96,588
79,875
66,690
66,690
....
....
13,185
16,713
16,713
....
....

184,842
147,423
147,109
147,109
....
....
314
37,418
37,418
....
....

65,835
67,283
55,501
55,501
....
....
11,782
1,448
1,448
....
....

86,909
95,877
84,212
84,212
....
....
11,665
8,968
8,968
....
....

102,000
46,522
34,875
34,875
....
....
11,647
55,477
55,477
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

44,706
43,491
20,449
....
974
....
19,475
....
23,043
55
16,816
....
6,282
....
1,215
5,712
....
31
....
5,742
....
6,927
....
1,769
1,157
4,001
....

9,181
26,529
19,980
....
900
....
19,081
....
6,548
52
6,749
....
13,245
....
17,348
4,588
....
1,295
....
3,293
....
12,760
....
1,986
8,090
2,685
....

43,023
80,503
20,401
....
2,690
1,504
16,207
....
60,102
11,516
1,349
....
47,236
....
37,481
3,360
....
....
....
3,360
....
34,121
....
6,240
25,939
1,942
....

47,807
295
31,861
....
6,551
727
24,584
....
32,156
456
4,714
....
26,986
....
48,102
8,818
....
....
....
8,818
....
39,285
....
7,802
29,981
1,502
....

40,249
18,624
3,152
....
218
1,073
1,862
....
15,472
1,912
32,720
....
15,336
....
21,625
3,242
....
224
....
3,018
....
24,867
....
15,577
4,977
4,313
....

26,314
6,892
5,343
....
308
70
5,105
....
1,549
3,941
19,557
4
17,161
....
19,422
4,840
....
541
....
5,381
....
14,582
....
14,365
3,385
3,167
....

17,900
4,995
4,461
....
1,401
216
2,843
....
534
4,787
7,267
4
12,592
....
22,895
4,200
....
954
....
5,154
....
18,695
....
6,025
18,945
6,274
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

5,448
9,647
4,199

3,372
1,497
4,870

1,424
....
....

5,809
....
....

724
....
....

1,758
....
....

2,766
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

37,619
87,399
....
87,399
130
92,342
19
5,055
....
125,017
....
....
125,017
5,639
119,771
296
97
....

10,394
91,915
....
91,915
242
80,317
297
11,542
....
81,520
....
....
81,520
13,562
64,658
2,736
6,036
....

22,248
14,692
158,361 73,479
....
....
158,361 73,479
840
58
148,883 75,373
1,265
66
9,902
1,770
....
....
180,608 88,171
....
....
....
....
180,608 88,171
25,081
65,454
147,477 181,514
139
599
7,911
27,291
....
....

80,891
116,884
....
116,884
538
123,205
184
6,675
....
197,775
....
5,996
203,771
84,733
104,481
1,459
13,097
....

27,736
12,384
....
12,384
549
22,851
846
9,072
....
40,119
....
....
40,119
37,199
2,048
2,526
3,398
....

7,819
33,171
....
33,171
505
14,733
4,101
13,831
....
40,990
....
....
40,990
54,307
15,931
727
1,887
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

2,176
417
10
1,027
721

156
....
214
534
476

1,226
3
36
167
1,360

1,316
....
24
514
1,806

6,968
....
6,313
179
477

819
....
4
642
173

1,499
1
276
1,633
144

NET ERRORS AND OMISSIONS.........................

....

2,413

530

2,322

1,741

328

1,297

2,068

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
93
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belgium

124
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 1,557,568 1,892,378 2,452,421 2,524,921 2,620,393 2,528,585 2,584,177
Direct investment............................................. 8A9999 A AA
. . . . 378,158 481,356 621,095 928,645 1,057,627 1,071,921 1,170,964
Equity and investment fund shares................. 8AA000 A AA
. . . . 225,815 290,647 374,309 317,351 358,388 339,261 339,174
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
152,343
....
....
....
554,645
204,560
....
3,828
751
199,980
....
350,085
4,952
191,147
94
153,892
....
3,635
609,135
....
609,135
2,463
523,591
1,662
81,418
....
11,996
3,755
314
1,112
6,815

....
....
....
190,708
....
....
....
643,194
248,210
....
5,128
944
242,137
....
394,984
5,458
204,992
43
184,491
....
10,561
743,831
....
743,831
2,448
647,868
2,519
90,995
....
13,436
4,653
545
620
7,619

....
....
....
246,786
....
....
....
837,345
313,728
....
8,392
2,601
302,734
....
523,617
19,126
214,458
50
289,983
....
21,739
955,737
....
955,737
2,776
841,202
1,905
109,854
....
16,505
6,121
609
477
9,298

....
....
....
611,294
523,645
87,649
....
735,529
209,831
....
1,356
1,747
206,729
....
525,698
19,828
207,550
19
298,301
....
26,065
819,035
....
819,035
3,361
705,183
1,820
108,671
....
15,646
6,328
570
982
7,767

....
....
....
699,238
602,076
97,163
....
763,433
226,762
....
1,969
627
224,166
....
536,671
22,629
178,155
17
335,870
....
20,985
754,366
....
754,366
3,100
601,985
2,200
147,081
....
23,983
8,076
6,907
1,199
7,801

....
....
....
732,660
619,672
112,988
....
726,202
229,642
....
2,519
509
226,614
....
496,560
24,085
143,102
19
329,355
....
10,977
692,670
....
692,670
3,736
553,318
2,921
132,695
....
26,815
10,315
6,789
1,831
7,880

....
....
....
831,790
690,424
141,366
....
666,538
195,297
....
1,133
299
193,865
....
471,241
26,358
143,739
23
301,120
....
8,031
709,211
....
709,211
4,127
553,411
6,642
145,032
....
29,433
11,514
6,500
3,426
7,992

. . . . 1,438,250 1,772,794 2,310,289 2,334,112 2,361,172 2,228,662 2,276,654


. . . . 478,183 618,532 784,576 969,020 1,084,358 1,095,556 1,160,729
. . . . 406,455 549,247 674,481 653,658 769,929 783,854 777,846
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
71,728
69,285 110,095 315,362 314,430 311,702 382,883
....
....
....
. . . . 288,417 294,833 282,021 356,697
....
....
....
....
26,945
19,596
29,681
26,186
....
....
....
....
....
....
....
....
. . . . 244,761 285,067 396,669 400,917 478,193 427,335 398,171
....
43,015
57,745
72,900
47,648
84,944
79,259
70,179
....
....
....
....
....
....
....
....
....
....
3
3
1,531
1,318
1,844
2,609
....
....
....
....
....
....
....
....
....
43,015
57,743
72,897
46,117
83,625
77,415
67,570
....
....
....
....
....
....
....
....
. . . . 201,745 227,322 323,769 353,269 393,249 348,076 327,992
....
....
....
....
....
....
....
....
....
8,681
11,684
22,969
28,094
44,889
28,373
30,094
. . . . 158,835 177,572 247,641 276,269 291,541 263,362 237,718
....
34,229
38,065
53,159
48,906
56,819
56,341
60,181
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
94
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belgium

124
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

....
....
....
....
....
....
....
....
....
....

2006

2007

2008

2009

2010

2011

3,381
711,925
....
694
711,232
42,790
622,109
7,050
39,283
....

9,776
22,704
859,419 1,106,339
....
....
730
767
858,689 1,105,572
61,237
93,687
741,480 941,863
7,641
8,531
48,331
61,491
....
....

19,783
944,392
....
747
943,645
148,969
715,442
7,856
71,378
....

17,814
780,806
....
6,778
774,029
64,805
627,095
7,579
74,551
....

7,888
697,883
....
6,658
691,225
21,996
592,429
9,013
67,788
....

8,712
709,043
....
6,637
702,405
72,732
557,742
8,883
63,049
....

....

119,318

119,583

142,133

190,809

259,221

299,923

307,523

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
95
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belize

339
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
151.2
25.4
52.1
144.9
82.8
45.7

31.3

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

603.3
773.9

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

202.4

99.4

145.5

256.4

162.2

137.6

115.4

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

68.4
17.1

92.2
18.2

136.6
43.2

141.1
29.5

101.9
22.5

114.8
22.9

107.7
23.6

B. Capital Account........................................... 20999F B AA

....

3.0

9.1

4.1

9.0

18.5

5.6

23.7

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

3.9
1.0

148.3

10.2
1.1

16.2

5.1
1.0

48.0

10.4
1.3

135.8

18.8
.3

64.3

6.7
1.1

40.1

24.3
.6

7.6

C. Financial Account......................................... 30999F N AA

....

144.3

74.1

109.7

205.5

145.0

27.0

16.0

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

1.0
1.0
....

.6
.6
....

1.0
1.0
....

2.8
2.8
....

.5
.5
....

1.1
1.1
....

.6
.6
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

126.9
106.3
20.7

108.8
123.5
14.7

140.4
127.3
13.1

169.7
162.0
7.6

108.8
102.4
6.4

96.4
94.3
2.1

91.1
90.2
.9

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

.2
.2
....

.3
.3
....

.4
.4
....

2.9
2.9
....

4.5
.5
4.0

2.2
.1
2.1

7.1
.1
7.0

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

18.1
....
18.1

21.4
4.0
25.4

79.1
....
79.1

2.7
2.0
4.7

5.1
....
5.1

5.6
....
5.6

6.1
....
6.1

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

5.3
.3
5.6

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

39.1
....
39.1

13.6
....
13.6

4.7
....
4.7

13.8
....
13.8

13.5
....
13.5

13.1
....
13.1

23.5
....
23.5

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

45.0
....
45.0

1.1
....
1.1

113.1
....
113.1

61.7

52.2
....
52.2

69.7

32.8
....
32.8

80.7

47.4
....
47.4

13.0

37.8
....
37.8

D. Net Errors and Omissions............................. 40999S N AA

....

7.6

8.5

39.3

11.5

40.7

18.0

9.8

E. Reserves and Related Items.......................... 4Z999S N AA

....

11.5

49.3

22.4

58.2

40.0

5.0

18.2

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

11.5
....
....

49.3
....
....

22.4
....
....

58.2
....
....

47.0
7.0
....

5.0
....
....

18.2
....
....

Conversion rates: Belize dollars per U.S.


dollar............................................................. RFZ F B

....

2.0000

2.0000

2.0000

2.0000

2.0000

2.0000

2.0000

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

308.0
544.2

2006

408.9
597.9

2007

416.3
634.7

2008

480.0
788.2

2009

384.0
620.5

475.7
647.2

236.2

188.9

218.5

308.3

236.6

171.5

170.6

307.0
158.8

367.0
152.2

400.1
168.2

13.5

386.6
169.6

91.2

344.3
161.7

54.0

353.8
162.4

344.0
170.3

6.8
121.2

10.1
135.4

7.0
165.9

5.9
171.1

4.5
112.7

4.6
162.1

4.6
123.1

88.0

3.9

25.9

57.9

20.0

3.1

8.4

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
96
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belize

339
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
151.2
25.4
52.1
144.9
82.8
45.7
GOODS AND SERVICES..................................... 1Z9999 B XN
....
88.0
25.9
13.5
91.2
54.0
20.0
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

615.0
703.0
236.2
308.0
308.0
.1
....
544.2
544.2
....
148.2
307.0
158.8
5.3
....
....
....
30.2
....
....

776.0
750.0
188.9
408.9
408.8
.1
....
597.9
597.9
....
214.9
367.0
152.2
4.2
....
....
....
28.7
....
....

816.4
802.9
218.5
416.3
416.2
.1
....
634.7
634.7
....
231.9
400.1
168.2
2.1
....
....
....
30.3
....
....

866.6
957.8
308.3
480.0
479.9
....
....
788.2
788.2
....
217.0
386.6
169.6
.2
....
....
....
25.1
....
....

728.3
782.3
236.6
384.0
383.9
....
....
620.5
620.5
....
182.6
344.3
161.7
....
....
....
....
16.9
....
....

829.6
809.6
171.5
475.7
475.7
.1
....
647.2
647.2
....
191.5
353.8
162.4
.1
....
....
....
19.9
....
....

31.3
3.1
947.3
944.2
170.6
603.3
603.3
.1
....
773.9
773.9
....
173.7
344.0
170.3
....
....
....
....
21.2
....
....

50.6

54.9

57.0

69.5

55.1

58.0

69.5

213.6
10.3
203.3
41.6
2.5
39.2
57.9
1.6
.1
.7
....
7.5
30.2
....
17.8
66.5
....
28.3
6.6
.4
1.8
17.7
.2
11.6

260.1
17.7
242.4
41.1
2.0
39.1
74.1
3.6
.1
.7
....
9.0
36.8
....
23.8
56.2
....
24.1
2.1
.4
2.0
18.5
.3
8.9

288.6
17.1
271.5
42.7
2.0
40.8
79.1
....
.1
.7
....
12.3
36.9
....
29.1
68.4
....
32.9
8.6
.9
3.2
13.2
.4
9.2

278.5
16.8
261.7
40.8
2.1
38.6
82.8
....
.1
2.2
....
11.6
37.9
....
31.0
59.3
....
21.9
3.5
.7
4.2
19.7
.5
8.7

256.2
15.5
240.8
40.7
2.0
38.7
71.2
....
.1
5.2
....
16.0
23.0
....
26.9
65.9
.3
23.9
2.1
1.1
8.3
21.8
.2
8.2

264.5
16.1
248.3
36.5
1.9
34.6
69.4
....
.9
6.2
....
13.9
19.9
....
28.5
67.9
....
24.4
2.0
1.4
4.9
25.9
.4
8.8

252.6
23.0
229.7
33.8
1.5
32.2
70.1
....
.1
4.6
2.5
13.1
20.6
....
29.1
67.0
....
22.6
3.2
2.0
4.9
25.3
.2
8.7

....
....
....
....
....
....
....
....
....
....
....

114.4
6.8
121.2
3.8
5.9
3.0
.5
.5
.5
....
....

125.3
10.1
135.4
6.0
5.7
4.1
.5
.5
.5
....
....

159.0
7.0
165.9
2.4
5.2
4.6
.5
.5
.5
....
....

165.2
5.9
171.1
2.4
6.3
3.6
.6
.6
.6
....
....

108.3
4.5
112.7
2.4
5.9
2.1
.4
.4
.4
....
....

157.5
4.6
162.1
2.4
5.7
2.2
.4
.4
.4
....
....

118.5
4.6
123.1
2.4
5.2
2.2
.6
.6
.6
....
....

30.2

3.1
47.0
.5

28.7

2.3
52.2
.3

30.3

2.6
54.3
.1

25.1

3.2
66.3
.1

16.9

2.3
52.7
.1

19.9

2.6
55.2
.2

21.2

3.2
65.7
.6

_______________________________________________________________________________________________________________________________
97
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belize

339
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
2.5
....
2.5
....
....
....
....
115.3
34.9
34.9
16.3
18.6
....
50.3
....
....
....
50.3
30.1
....
30.1
....
....
....

....
....
....
....
....
3.6
....
3.6
....
....
....
....
129.7
51.6
51.5
26.3
25.2
.1
39.0
....
....
....
39.0
39.1
....
39.1
....
....
....

....
....
....
....
....
4.1
....
4.1
....
....
....
....
160.7
86.6
86.6
56.6
30.0
....
36.8
....
....
....
36.8
37.3
....
37.3
....
....
....

.1
....
....
....
.1
2.9
....
2.9
....
....
....
....
164.8
106.5
106.5
85.8
20.7
....
25.7
....
....
....
25.7
32.6
....
32.6
....
....
....

.4
....
....
....
.4
1.3
....
1.3
....
....
....
....
106.9
56.1
56.1
33.2
22.9
....
25.1
....
....
....
25.1
25.7
....
25.7
....
....
....

.6
....
....
....
.6
1.2
....
1.2
....
....
....
....
156.4
102.4
102.4
87.3
15.1
....
29.4
....
....
....
29.4
24.6
....
24.6
....
....
....

.5
....
....
....
.5
1.1
....
1.1
....
....
....
....
117.8
60.4
60.4
68.5
8.1
....
33.7
....
....
....
33.7
23.8
....
23.8
....
....
....

....
....
....
....
....
....
....
....
....
....
....

51.2
68.4
5.5
62.8
40.9
21.9
17.1
2.4
14.8
13.5
1.3

74.0
92.2
10.9
81.2
57.8
23.4
18.2
2.4
15.8
14.9
.8

93.4
136.6
41.0
95.6
70.8
24.8
43.2
25.2
18.0
16.2
1.8

111.5
141.1
28.2
112.8
74.1
38.7
29.5
5.7
23.9
21.7
2.1

79.4
101.9
2.2
99.7
76.2
23.4
22.5
3.8
18.7
16.7
2.0

91.8
114.8
1.1
113.7
75.8
37.9
22.9
4.4
18.6
16.3
2.2

84.1
107.7
.7
107.0
73.3
33.7
23.6
3.5
20.1
18.3
1.8

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

3.0
....
....
3.9
2.6
.7
1.9
1.4
1.0
....
....
....
1.0

9.1
....
....
10.2
8.0
4.6
3.5
2.2
1.1
....
....
....
1.1

4.1
....
....
5.1
3.4
....
3.4
1.7
1.0
....
....
....
1.0

9.0
....
....
10.4
8.4
....
8.4
2.0
1.3
....
....
....
1.3

18.5
....
....
18.8
17.1
2.5
14.6
1.7
.3
....
....
....
.3

5.6
....
....
6.7
5.3
....
5.3
1.4
1.1
....
....
....
1.1

23.7
....
....
24.3
19.6
2.5
17.1
4.7
.6
....
....
....
.6

FINANCIAL ACCOUNT........................................ 30999S N AA

....

155.8

24.8

87.3

147.3

105.0

22.1

2.2

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

125.9
1.0
1.0
1.0
1.0
....
....
....
....
....
....
....

108.3
.6
.6
.6
.6
....
....
....
....
....
....
....

139.4
1.0
1.0
1.0
1.0
....
....
....
....
....
....
....

166.9
2.8
2.8
2.8
2.8
....
....
....
....
....
....
....

108.4
.5
.5
.5
.5
....
....
....
....
....
....
....

95.3
1.1
1.1
1.1
1.1
....
....
....
....
....
....
....

90.4
.6
.6
.6
.6
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
98
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Belize

339
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

126.9
106.3
87.7
87.7
....
....
18.6
20.7
20.7
....
....

108.8
123.5
98.3
98.3
....
....
25.2
14.7
14.7
....
....

140.4
127.3
97.3
97.3
....
....
30.0
13.1
13.1
....
....

169.7
162.0
141.3
141.3
....
....
20.7
7.6
7.6
....
....

108.8
102.4
79.5
79.5
....
....
22.9
6.4
6.4
....
....

96.4
94.3
79.2
79.2
....
....
15.1
2.1
2.1
....
....

91.1
90.2
98.3
98.3
....
....
8.1
.9
.9
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

17.8
.2
.2
....
....
....
.2
....
....
....
....
....
....
....
18.1
....
....
....
....
....
....
18.1
....
....
18.1
....
....

21.6
.3
.3
....
....
....
.3
....
....
....
....
....
....
....
21.4
4.0
....
....
....
4.0
....
25.4
....
....
25.4
....
....

78.7
.4
.4
....
....
....
.4
....
....
....
....
....
....
....
79.1
....
....
....
....
....
....
79.1
....
....
79.1
....
....

.2
2.9
2.9
....
3.3
....
.4
....
....
....
....
....
....
....
2.7
2.0
....
2.0
....
....
....
4.7
....
....
4.7
....
....

9.7
4.5
.5
....
....
....
.5
....
4.0
4.0
....
....
....
....
5.1
....
....
....
....
....
....
5.1
....
....
5.1
....
....

7.8
2.2
.1
....
....
....
.1
....
2.1
2.1
....
....
....
....
5.6
....
....
....
....
....
....
5.6
....
....
5.6
....
....

13.2
7.1
.1
....
....
....
.1
....
7.0
7.0
....
....
....
....
6.1
....
....
....
....
....
....
6.1
....
....
6.1
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

5.3
.3
5.6

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5.9
39.1
....
39.1
30.6
9.2
.1
.6
....
45.0
....
....
45.0
1.3
3.2
45.1
2.1
....

12.6
13.6
....
13.6
12.1
16.4
3.4
12.8
....
1.1
....
....
1.1
.2
32.3
32.0
1.5
....

108.4
4.7
....
4.7
18.5
11.4
1.9
.5
....
113.1
....
....
113.1
....
29.3
87.9
4.0
....

38.4
13.8
....
13.8
.1
16.1
2.0
4.2
....
52.2
....
....
52.2
.4
36.4
8.0
23.4
....

53.3
13.5
....
13.5
.1
15.8
2.5
.1
....
39.8
....
28.0
11.8
40.7
33.0
25.3
21.2
....

60.5
13.1
....
13.1
....
11.3
2.3
.5
....
47.4
....
....
47.4
1.0
14.7
.4
33.3
....

61.3
23.5
....
23.5
.1
24.0
....
.4
....
37.8
....
....
37.8
.7
11.7
3.0
28.4
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

11.5
....
.2
....
11.7

49.3
....
.3
....
49.1

22.4
....
.3
....
22.1

58.2
....
.3
....
57.9

47.0
....
27.9
....
19.1

5.0
....
.1
....
5.1

18.2
....
.1
....
18.3

NET ERRORS AND OMISSIONS.........................

....

7.6

8.5

39.3

11.5

40.7

18.0

9.8

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
99
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Benin

638
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
270.3
327.3
652.1
618.6
755.8
617.8

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

390.5

475.6

802.5

780.8

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

152.8
32.6

205.5
57.2

258.8
108.4

B. Capital Account........................................... 20999F B AA

....

99.0

82.9

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

105.3
6.3

171.3

89.0
6.1

244.4

488.4

522.1

C. Financial Account......................................... 30999F N AA

....

110.9

899.6

239.2

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

62.2
62.4
.2

67.3
70.1
2.8

122.3
122.2
.1

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

8.8
30.5
21.8

12.4
51.3
39.0

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

14.7
1.4
13.3

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

2009

578.1
863.4

735.5
1,042.0

1,046.8
1,601.6

1,282.2
1,889.7

1,224.6
1,737.8

1,281.5
1,775.2

....
....
....

193.8
281.2

217.1
356.0

301.5
500.7

348.0
510.0

220.9
495.9

376.5
514.7

....
....
....

285.3

306.5

554.8

607.5

513.2

493.6

372.7

445.4

754.0

769.5

788.2

631.9

25.4
43.2

23.8
54.0

37.6
86.1

44.9
56.2

43.1
76.1

821.2

49.4
102.9

685.4

....
....
....

235.1
72.9

137.8
72.5

134.6
67.0

....
....

163.6

96.5

152.8

145.3

....

170.7
7.1

110.6
14.0

158.9
6.1

603.0

160.1
14.8

472.5

....
....
....

372.3

186.1

175.7

....

125.8
129.2
3.3

121.8
127.9
6.1

141.3
136.0
5.3

....
....
....

139.0
6.6
132.4

48.0
48.7
96.7

18.7
32.1
13.3

53.5
25.7
79.1

....
....
....

6.0
.3
5.7

57.7
5.7
52.0

10.7
1.3
12.0

27.6
2.8
24.8

203.0
5.4
197.6

....
....
....

2.3
2.3
....

.3
.3
....

4.9
4.9
....

15.0
1.8
16.7

106.2
9.0
97.2

4.9
4.9
....

....
....
....

....
....
....

.3
.3
....

....
....
....

.1
.1
....

.7
.7
....

.4
.4
....

.4
.4
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

6.7
....
6.7

51.4
....
51.4

97.6
....
97.6

43.6
....
43.6

245.6
....
245.6

131.0
....
131.0

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

34.1
....
34.1

909.4
....
909.4

128.4
....
128.4

238.6
....
238.6

249.8
....
249.8

48.4
....
48.4

296.8

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

111.7
7.6
170.9

Conversion rates: CFA francs per U.S. dollar.... RFZ F B

....

527.47

60.4

1,144.0

249.2

149.7

416.9

8.8

28.0

71.9

1.4

4.4

2.6

....

51.6 1,116.0

177.3

148.4

421.3

294.2

....

171.5
50.8
1,338.4

176.4
1.3
352.4

126.4
19.3
255.5

72.1
15.8
333.5

54.4
15.6
333.0

....
....
....

522.89

479.27

447.81

472.19

495.28

471.87

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
100
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Benin

638
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
226.1
217.0
534.1
536.0
648.9
530.3
GOODS AND SERVICES..................................... 1Z9999 B XN
....
372.7
445.4
754.0
769.5
788.2
631.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

771.9
1,144.6
285.3
578.1
578.3
.2
....
863.4
863.4
....
87.5
193.8
281.2
....
....
....
2.3
32.8

....
....
....
....
....
....
....
....
....
....
....

4.7
8.4
19.7

952.5
1,398.0
306.5
735.5
735.5
....
....
1,042.0
1,042.0
....
138.9
217.1
356.0
....
....
....
3.8
29.2

5.6
.2
23.4

1,348.3
2,102.3
554.8
1,046.8
1,046.9
.1
....
1,601.6
1,601.6
....
199.2
301.5
500.7
....
....
....
.4
12.6

1,630.2
2,399.7
607.5
1,282.2
1,282.2
....
....
1,889.7
1,889.7
....
162.0
348.0
510.0
....
....
....
....
13.0

....

....

.3

12.3

.4

12.6

131.2
49.3
82.0
52.5
18.9
33.6
71.8
.7
3.3
1.7
....
.4
48.2
....
17.4
153.2
9.9
18.6
5.0
3.0
19.2
89.8
....
7.7

33.8
261.4
16.0

149.2
68.3
80.9
57.4
30.8
26.7
126.1
2.8
.7
7.1
....
32.9
53.8
....
28.7
146.1
5.0
19.2
5.1
2.9
43.5
58.6
....
11.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

33.0
43.1
76.1
3.3
3.1
39.8
1.8
1.2
1.3
.1
.6

53.5
49.4
102.9
12.3
1.7
37.1
1.7
1.7
2.1
.4
....

....
....
....
....
....
....
....
....
....
....
....

1,445.5
2,233.7
513.2
1,224.6
1,224.8
.2
....
1,737.8
1,737.8
....
275.0
220.9
495.9
....
....
....
....
17.9

1,658.0
2,289.9
493.6
1,281.5
1,281.6
.1
....
1,775.2
1,775.2
....
138.2
376.5
514.7
....
....
....
....
101.2

.4
.2
17.4

.4
67.8
33.0

174.2

216.8

295.8

310.1

290.2

311.2

103.4
38.1
65.3
26.9
10.2
16.6
57.6
.1
1.2
2.9
....
5.4
33.5
....
14.6
77.8
.1
27.3
2.8
1.9
19.5
14.3
.1
11.9

116.3
44.2
72.0
34.2
16.8
17.5
71.6
.1
.6
4.2
....
11.8
34.3
....
20.6
101.2
10.4
31.6
2.3
1.6
21.6
23.5
.2
10.0

206.5
67.3
139.2
71.7
29.1
42.7
82.4
.1
4.2
1.9
....
2.3
53.2
.1
20.6
132.9
13.0
45.2
3.0
2.0
7.5
50.8
1.9
9.5

235.7
99.2
136.5
63.8
28.1
35.7
99.4
.3
5.9
1.4
....
2.3
69.7
....
19.7
136.1
18.0
21.6
2.6
2.8
15.1
65.0
1.0
10.0

17.8
25.4
43.2
9.8
3.0
15.6
.3
.9
....
.9
.6

30.2
23.8
54.0
9.3
8.7
14.5
1.1
.6
1.7
1.1
.5

48.5
37.6
86.1
6.3
5.1
31.3
2.5
.3
.5
.2
2.2

11.3
44.9
56.2
7.4
6.5
37.5
1.3
.4
.4
....
.8

30.5
136.8
6.9

36.9
168.5
11.4

34.8
257.9
3.1

38.5
269.6
2.1

2011

35.4
252.8
2.1

_______________________________________________________________________________________________________________________________
101
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Benin

638
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5.6
1.0
....
....
4.6
10.4
....
10.4
....
....
....
....
40.1
9.0
6.3
7.0
.7
2.7
8.4
1.5
....
....
6.9
22.7
....
22.7
....
....
....

3.9
.1
....
....
3.8
9.6
....
9.6
....
....
....
....
45.4
14.8
14.8
11.7
3.1
....
8.5
1.7
....
....
6.8
22.0
....
22.0
....
....
....

7.9
.4
....
....
7.4
21.0
....
21.0
....
....
....
....
80.9
52.9
52.2
13.0
39.2
.7
7.2
2.1
....
....
5.1
20.9
....
20.9
....
....
....

5.9
.6
....
....
5.3
30.3
....
30.3
....
....
....
....
49.7
29.5
29.5
24.4
5.2
....
6.9
1.4
....
....
5.5
13.4
....
13.4
....
....
....

12.9
.2
....
....
12.7
25.1
....
25.1
....
....
....
....
72.9
31.5
30.9
22.7
8.2
.6
15.4
3.4
....
....
12.0
26.0
....
26.0
....
....
....

11.8
1.4
....
....
10.4
23.5
....
23.5
....
....
....
....
101.2
54.8
54.5
45.1
9.3
.3
16.6
5.1
....
....
11.5
29.8
....
29.8
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

164.4
197.0
44.2
152.8
137.1
15.7
32.6
.5
32.2
30.5
1.7

258.6
315.8
110.3
205.5
186.2
19.3
57.2
3.2
54.0
52.1
1.9

268.4
376.8
118.0
258.8
234.2
24.6
108.4
3.0
105.3
102.4
2.9

244.8
317.7
82.6
235.1
199.6
35.5
72.9
1.7
71.2
67.8
3.4

172.2
244.7
106.9
137.8
122.6
15.2
72.5
3.3
69.2
66.8
2.4

155.0
222.1
87.5
134.6
127.1
7.5
67.0
3.5
63.5
61.7
1.8

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

121.9
....
....
128.2
98.1
22.8
75.3
30.1
6.3
....
....
....
6.3

1,154.8
....
....
1,160.9
1,127.7
1,071.9
55.8
33.2
6.1
....
....
....
6.1

176.0
....
.1
183.1
138.8
12.3
126.4
44.3
7.0
....
....
....
7.0

108.0
....
.1
122.0
71.7
11.5
60.2
50.4
14.0
....
....
....
14.0

161.1
....
.1
167.2
140.1
8.3
131.7
27.2
6.0
....
....
....
6.0

152.6
....
.1
167.4
120.7
7.3
113.4
46.8
14.7
....
....
....
14.7

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

95.4

965.8

286.2

426.7

492.2

375.1

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

53.4
62.2
62.4
61.5
8.9
52.6
....
.9
.2
2.3
2.5
....

54.9
67.3
70.1
69.0
3.2
65.8
....
1.1
2.8
2.6
.3
....

261.3
122.3
122.2
122.0
3.9
118.1
....
.2
.1
....
.1
....

173.8
125.8
129.2
129.2
1.8
127.3
....
....
3.3
.4
3.8
....

103.1
121.8
127.9
127.8
.8
127.0
....
.1
6.1
7.2
1.1
....

194.7
141.3
136.0
135.6
4.5
131.0
....
.4
5.3
1.5
3.8
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
102
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Benin

638
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

8.8
30.5
29.8
28.7
1.1
....
.7
21.8
32.4
10.6
....

12.4
51.3
54.5
51.2
3.2
....
3.1
39.0
35.7
3.2
....

139.0
6.6
32.6
30.3
2.3
....
39.2
132.4
128.1
4.3
....

48.0
48.7
53.9
50.5
3.3
....
5.2
96.7
91.7
5.0
....

18.7
32.1
40.2
13.2
27.1
....
8.2
13.3
11.2
2.2
....

53.5
25.7
35.0
29.9
5.1
....
9.3
79.1
62.6
16.5
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

16.7
14.7
1.4
....
....
....
1.4
....
13.3
....
12.6
....
.7
....
2.0
2.3
....
.2
....
2.1
....
.3
....
.3
....
.1
....

14.6
6.0
.3
....
.3
....
....
....
5.7
....
10.1
....
4.3
....
8.5
.3
....
1.1
....
1.4
....
8.3
....
.5
....
8.8
....

18.3
57.7
5.7
....
.2
....
5.9
....
52.0
....
54.1
....
2.1
....
76.0
4.9
....
4.7
....
.2
....
71.1
....
.3
64.5
6.9
....

8.9
10.7
1.3
....
....
....
1.3
....
12.0
....
10.4
....
1.7
....
19.7
1.8
....
2.4
....
.6
....
21.4
....
....
....
21.4
....

91.5
27.6
2.8
....
.6
....
2.3
....
24.8
....
3.7
51.6
23.1
....
119.2
9.0
....
9.0
....
....
....
110.2
....
.3
12.7
97.3
....

123.4
203.0
5.4
....
.2
....
5.2
....
197.6
....
177.8
10.6
9.2
....
79.6
4.9
....
5.0
....
.1
....
74.7
....
....
71.5
3.2
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

.3
.3
....

....
....
....

.1
.1
....

.7
.7
....

.4
.4
....

.4
.4
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

137.3
6.7
....
6.7
....
1.1
.2
5.4
....
130.6
....
....
130.6
14.8
22.7
66.0
56.7
....

863.8
51.4
....
51.4
....
72.7
.3
21.5
....
812.4
....
....
812.4
45.3
26.8
901.4
107.5
....

183.1
97.6
....
97.6
....
69.7
.2
28.1
....
280.7
....
....
280.7
7.5
6.5
103.9
177.8
....

371.0
43.6
....
43.6
....
11.2
....
54.8
....
414.6
....
....
414.6
26.3
29.1
127.9
231.3
....

225.2
245.6
....
245.6
....
108.7
....
136.9
....
470.8
....
77.7
393.1
24.5
24.3
139.1
205.2
....

358.5
131.0
....
131.0
....
24.3
....
106.7
....
227.4
....
....
227.4
16.0
24.5
112.9
74.0
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

111.7
....
.2
....
111.5

171.5
....
.1
....
171.6

176.4
....
.1
....
176.4

126.4
....
....
....
126.4

72.1
....
77.5
....
149.6

54.4
....
.1
....
54.3

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

8.8

28.0

71.9

1.4

4.4

2.6

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
103
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Benin

638
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
1,093.8 1,514.1 2,053.2 2,070.2 2,357.9 2,301.2
Direct investment............................................. 8A9999 A AA
....
19.6
15.7
29.7
24.3
57.5
34.7
Equity and investment fund shares................. 8AA000 A AA
....
16.2
15.7
20.1
20.4
48.3
44.4
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

16.2
....
....
3.4
3.4
....
....
99.5
1.6
....
.1
....
1.5
....
98.0
....
56.9
....
41.1
....
1.1
317.5
....
317.5
....
234.7
.3
82.6
....
656.0
....
.2
3.1
652.7

15.7
....
....
....
....
....
....
102.1
.8
....
.1
....
.7
....
101.3
....
55.1
....
46.2
....
.1
484.1
....
484.1
....
338.3
.6
145.2
....
912.2
....
.1
3.3
908.9

20.1
....
....
9.6
9.6
....
....
189.7
7.2
....
....
....
7.1
....
182.5
....
112.1
....
70.5
....
.2
624.4
....
624.4
....
448.4
....
176.0
....
1,209.2
....
.1
3.5
1,205.6

20.4
....
....
3.9
3.9
....
....
134.5
4.6
....
1.1
....
3.5
....
129.9
....
61.7
....
68.2
....
.8
647.3
....
647.3
....
412.0
....
235.2
....
1,263.4
....
.1
3.4
1,259.9

48.3
....
....
9.2
9.2
....
....
206.3
6.9
....
1.1
....
5.8
....
199.4
....
137.6
....
61.9
....
.2
864.1
....
864.1
....
538.8
....
325.3
....
1,229.8
....
77.9
3.4
1,148.5

44.4
....
....
9.7
9.7
....
....
396.7
11.8
....
6.5
....
5.3
....
384.8
....
327.5
....
57.4
....
.5
669.3
....
669.3
....
475.2
....
194.0
....
1,200.1
....
76.6
3.4
1,120.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
76.3
3.4
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,473.7
284.3
182.4
182.4
....
....
102.0
102.0
....
....
14.0
12.3
....
9.0
....
3.3
....
1.7
....
1.1
....
.7
....

2,179.7
385.8
210.1
210.1
....
....
175.6
174.4
1.2
....
33.8
12.9
....
9.8
....
3.2
....
20.9
....
.6
....
20.2
....

2,021.8
556.3
280.7
280.7
....
....
275.6
275.6
....
....
25.3
17.5
....
16.0
....
1.5
....
7.8
....
.4
....
7.4
....

2,469.8
602.4
300.8
300.8
....
....
301.6
301.6
....
....
36.6
9.2
....
7.7
....
1.6
....
27.4
....
....
15.9
11.5
....

3,188.5
762.8
437.9
437.9
....
....
324.9
324.9
....
....
202.5
18.5
....
17.2
....
1.3
....
184.0
....
117.3
56.9
9.7
....

3,582.5
885.9
517.6
517.6
....
....
368.3
368.3
....
....
268.1
22.1
....
21.0
....
1.1
....
246.0
....
196.7
37.1
12.3
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
104
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Benin

638
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: CFA francs per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
2,175.4
....
13.4
2,161.9
69.7
172.1
1,653.6
266.5
....

....
1,760.2
....
14.2
1,746.0
27.4
222.8
1,043.6
452.2
....

....
1,440.2
....
14.9
1,425.4
21.9
247.0
672.7
483.8
....

....
1,830.8
....
14.5
1,816.3
44.4
254.9
880.7
636.4
....

....
2,223.2
....
92.8
2,130.5
70.6
296.9
1,017.4
745.6
....

....
2,428.5
....
91.1
2,337.4
84.4
299.5
1,187.4
766.2
....

....
....
....
....
....
....
....
....
....
....

....

1,379.9

665.6

31.4

399.6

830.7 1,281.3

....

....

556.04

498.07

445.59

471.34

455.34

490.91

506.96

_______________________________________________________________________________________________________________________________
105
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bermuda

319
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis

A. Current Account..........................................

10999F B XN

....

....

1,252.4

1,216.1

906.7

581.4

696.0

680.7

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

....
....
....

25.5
1,094.3

25.3
1,165.8

23.5
1,159.2

28.7
1,064.3

14.7
988.0

13.5
910.2

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

1,068.9

1,140.5

1,135.7

1,035.7

973.4

896.7

....
....
....

1,592.3
861.9

1,605.6
1,115.2

1,464.7
1,041.5

1,326.7
984.2

1,401.4
1,013.3

1,428.1
973.8

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

....
....
....

1,920.5
322.8

1,259.2

2,431.5
511.2

1,270.2

2,308.7
573.3

1,022.8

1,773.6
371.1

1,734.5
315.5

1,758.2
504.6

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

....
....

126.9
133.7

107.8
161.9

68.8
184.9

89.6
217.5

78.7
216.5

88.7
219.3

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....
....

....
....

1,252.4

....
....

1,216.1

....
....

906.7

....
....

581.4

....
....

696.0

....
....

C. Financial Account......................................... 30999F N AA

....

....

1,606.6

917.1

474.8

330.2

710.9

272.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

111.9
66.2
45.7

104.9
59.8
45.1

322.9
294.5
28.4

11.0
56.6
45.6

13.9
7.8
6.1

332.8
370.9
38.1

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

....
....
....

88.2
139.5
227.7

617.2
198.6
418.6

171.5
313.9
142.4

70.7
53.0
123.7

222.7
465.9
243.2

111.2
238.4
127.3

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

511.9
49.9
561.8

159.3
131.2
290.4

1,920.6
30.5
1,951.1

1,558.4
42.7
1,515.7

1,405.1
7.8
1,412.9

2,311.0
47.3
2,263.7

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

76.6
63.8
12.8

165.0
164.6
.4

891.3
35.1
856.2

79.3
44.0
123.2

469.2
239.8
229.5

117.7
2.6
115.0

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

1.0
44.2
45.2

659.8
745.1
85.3

100.5
22.0
78.6

160.8
52.5
108.4

59.3
59.4
.1

120.4
128.3
8.0

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

....
....
....

743.0
....
743.0

595.2
....
595.2

1,866.4
....
1,866.4

2,379.9
....
2,379.9

604.0
....
604.0

1,660.1
....
1,660.1

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

....
....
....
....

....
....
....
....

476.2
....
476.2

334.5
....
334.5

1,168.3
....
1,168.3

169.5
....
169.5

911.5

651.7
....
651.7

14.9

3,492.4
....
3,492.4

2,848.7 2,137.0

Balance on goods and services...................................... 1Z9999 B XN

Current + capital financial account balance............... 4Y999F N AA

338.5

2,859.0

650.0

2,133.2

712.5

432.0

693.1

709.3

585.3

833.8

442.4

811.2

680.7

408.0

D. Net Errors and Omissions............................. 40999S N AA

....

....

437.3

893.7

18.0

396.8

E. Reserves and Related Items.......................... 4Z999S N AA

....

....

10.3

3.8

5.3

17.8

3.1

11.2

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

....
....
....

10.3
....
....

3.8
....
....

5.3
....
....

17.8
....
....

3.1
....
....

11.2
....
....

Conversion rates: Bermuda dollars per U.S.


dollar............................................................. RFZ F B

....

1.00

1.00

1.00

1.00

1.00

1.00

1.00

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
106
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bermuda

319
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

Data reported to the IMF on a BPM6 basis


CURRENT ACCOUNT.......................................... 109999 B XN
....
....
1,252.4 1,216.1
GOODS AND SERVICES..................................... 1Z9999 B XN
....
....
338.5
650.0
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
1,617.8
1,630.9
....
1,956.3
2,281.0
. . . . 1,068.9 1,140.5
....
25.5
25.3
....
25.5
25.3
....
....
....
....
....
....
....
1,094.3 1,165.8
....
1,094.3
1,165.8
....
....
....
....
730.4
490.4
....
1,592.3
1,605.6
....
861.9
1,115.2
....
....
....
....
....
....
....
.3
....
....
....
1.3
....
55.0
70.0
....
....
....
....
.4
....
....
54.6
69.9
....
308.3
375.6
126.0
164.6
....
....
137.5
164.1
....
44.9
47.0
....
494.6
568.7
....
99.1
123.0
....
395.5
445.7
....
268.5
288.4
....
10.1
12.4
....
258.4
275.9
....
1,042.4
966.9
....
64.2
43.9
....
39.5
52.7
....
206.6
249.3
....
.2
.1
....
117.6
108.8
....
512.1
489.1
....
....
2.4
....
102.0
20.7
....
285.1
449.9
....
....
....
....
77.0
137.9
....
15.3
22.0
....
4.7
4.6
....
45.0
55.3
....
117.8
205.7
....
.1
.1
....
25.3
24.3

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,597.7
1,920.5
322.8
1,182.5
67.0
738.0
191.6
189.2
133.7
55.5
2.4

1,920.3
2,431.5
511.2
1,450.1
69.3
886.7
215.1
211.3
136.0
75.2
3.8

2008

2009

2010

2011

906.7
581.4
712.5
693.1
1,488.2
1,355.4
2,200.7
2,048.5
1,135.7 1,035.7
23.5
28.7
23.5
28.7
....
....
....
....
1,159.2 1,064.3
1,159.2
1,064.3
....
....
423.2
342.6
1,464.7
1,326.7
1,041.5
984.2
.1
....
....
....
....
....
.9
2.3
67.0
53.3
....
....

696.0
585.3
1,416.1
2,001.4
973.4
14.7
14.7
....
....
988.0
988.0
....
388.1
1,401.4
1,013.3
.8
....
.2
3.5
36.5
....

680.7
442.4
1,441.6
1,884.0
896.7
13.5
13.5
....
....
910.2
910.2
....
454.3
1,428.1
973.8
.2
....
.2
11.6
39.2

.1
66.9

.1
53.2

6.0
30.5

5.5
.2
33.5

345.3

274.6

271.1

249.2

430.5
108.8
321.8
306.6
15.2
291.4
967.1
23.6
33.0
243.4
.1
101.3
530.9
1.0
33.8
388.7
3.3
92.7
34.9
6.3
72.5
158.0
.1
20.9

366.1
79.7
286.4
294.6
10.9
283.7
907.3
34.3
46.5
175.0
....
98.6
497.7
1.5
53.6
412.7
1.4
116.5
30.6
9.3
83.5
153.6
.1
17.8

442.4
117.5
324.9
301.0
11.8
289.2
921.5
12.7
43.2
216.1
....
82.6
505.5
1.8
59.7
437.7
16.6
93.3
45.1
8.8
96.7
158.6
....
18.6

465.6
122.7
342.9
302.9
11.0
291.9
922.9
12.6
48.0
211.7
....
79.9
504.3
1.8
64.6
410.1
13.9
117.3
36.0
9.6
81.9
132.5
....
18.9

1,735.3
2,308.7
573.3
1,390.5
68.3
802.6
306.9
302.9
204.0
98.9
4.0

1,402.4
1,773.6
371.1
1,345.5
70.9
311.2
102.5
99.9
89.5
10.4
2.6

1,419.1
1,734.5
315.5
1,260.3
85.7
332.6
88.7
86.5
105.7
19.2
2.2

1,253.6
1,758.2
504.6
1,251.9
68.6
357.9
99.2
97.1
74.3
22.8
2.1

151.7
154.1
39.5

112.4
138.2
24.0

116.1
130.3
24.7

109.8
120.4
19.0

_______________________________________________________________________________________________________________________________
107
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bermuda

319
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

464.9
82.2
....
....
382.6
81.5
....
81.5
....
....
....
....
255.8
45.7
39.0
16.4
22.6
6.7
84.6
18.4
....
....
66.1
125.6
....
125.6
....
....
....

586.3
161.1
....
161.1
425.2
85.3
....
85.3
....
....
....
....
441.9
192.2
169.7
169.1
.7
22.4
117.9
21.2
....
21.2
96.7
131.8
....
131.8
....
94.6
....

442.4
103.7
....
103.7
338.7
53.2
....
53.2
....
....
....
....
505.1
288.2
263.7
261.9
1.7
24.5
150.0
58.0
....
58.0
91.9
66.9
....
66.9
....
115.5
....

181.8
47.3
....
47.3
134.5
26.9
....
26.9
....
....
....
....
300.3
176.6
167.2
166.9
.4
9.4
91.2
57.0
....
57.0
34.2
32.4
....
32.4
....
116.9
....

220.8
97.1
....
97.1
123.7
23.1
....
23.1
....
....
....
....
229.8
165.0
160.6
152.6
8.0
4.4
18.9
2.1
....
2.1
16.8
45.9
....
45.9
....
141.6
....

216.7
75.5
....
75.5
141.2
42.1
....
42.1
....
....
....
....
436.1
338.0
332.1
327.3
4.8
5.9
20.8
2.6
....
2.6
18.2
77.3
....
77.3
....
148.3
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

6.8
126.9
86.9
40.0
....
40.0
133.7
1.9
131.8
104.6
27.2

54.2
107.8
12.6
95.2
....
95.2
161.9
7.3
154.6
108.6
46.0

116.1
68.8
7.9
60.9
.2
60.7
184.9
6.1
178.7
122.6
56.1

127.9
89.6
8.1
81.5
.6
80.9
217.5
5.7
211.8
141.7
70.1

137.8
78.7
7.0
71.7
1.1
70.6
216.5
2.9
213.6
152.9
60.7

130.6
88.7
6.2
82.5
1.5
81.0
219.3
2.4
216.8
151.2
65.7

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

....

1,596.3

921.0

469.4

312.4

714.0

283.8

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

200.1
111.9
66.2
10.7
41.9
31.2
....
55.5
45.7
45.7
....
....

512.3
104.9
59.8
13.0
27.9
40.9
....
72.8
45.1
45.1
....
....

151.4
322.9
294.5
195.6
195.4
.2
....
98.9
28.4
28.4
....
....

81.7
11.0
56.6
46.2
34.4
11.8
....
10.4
45.6
45.6
....
....

236.6
13.9
7.8
11.4
23.6
35.0
....
19.2
6.1
6.1
....
....

444.0
332.8
370.9
393.7
346.7
47.0
....
22.8
38.1
29.7
8.4
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
108
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bermuda

319
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

88.2
139.5
116.9
117.9
.9
....
22.6
227.7
....
227.7
....

617.2
198.6
160.4
10.4
170.9
....
38.1
418.6
426.8
8.3
....

171.5
313.9
312.2
....
312.2
....
1.7
142.4
142.5
.1
....

70.7
53.0
52.6
....
52.6
....
.4
123.7
124.4
.7
....

222.7
465.9
457.9
....
457.9
....
8.0
243.2
242.8
.3
....

111.2
238.4
233.6
156.5
77.1
....
4.8
127.3
132.1
4.8
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

588.5
511.9
49.9
....
10.2
12.0
48.2
....
561.8
....
598.0
....
36.2
....
76.6
63.8
....
55.9
....
7.9
....
12.8
....
12.8
....
....
....

5.8 2,811.8
159.3 1,920.6
131.2
30.5
....
....
17.3
....
....
5.8
148.5
36.3

1,637.6
1,558.4
42.7
....
34.0
7.8
16.4

935.8
1,405.1
7.8
....
30.0
16.7
21.0

2,428.7
2,311.0
47.3
....
....
46.3
1.1

290.4 1,951.1
....
....
304.8 1,999.4
....
....
14.4
48.4

1,515.7
....
1,560.0
....
44.4

1,412.9
....
1,330.0
....
82.8

2,263.7
....
2,214.2
....
49.5

165.0
164.6
....
164.8
....
.2
....
.4
....
.1
....
.3
....

891.3
35.1
....
37.0
....
1.9

.2

117.7
2.6
....
2.1
....
.5

856.2
....
856.5
....
.3
....

79.3
44.0
....
41.9
....
2.0
....
123.2
....
123.2
....
....
....

469.2
239.8
....
226.0
....
13.8

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

229.5
....
229.2
....
.3
....

115.0
....
115.1
....
.1
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

1.0
44.2
45.2

659.8
745.1
85.3

100.5
22.0
78.6

160.8
52.5
108.4

59.3
59.4
.1

120.4
128.3
8.0

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

. . . . 1,219.2
....
743.0
....
....
....
743.0
....
....
....
741.4
....
3.4
....
5.0
....
....
....
476.2
....
....
....
....
....
476.2
....
....
....
510.3
....
....
....
34.2
....
....

260.7
595.2
....
595.2
1.3
554.0
1.0
41.0

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

146.8

11.1

32.7

37.7

46.2

11.3

47.1

3,034.7 2,210.3
1,866.4 2,379.9
....
....
1,866.4 2,379.9
.8
.1
1,850.4 2,350.6
1.4
3.6
13.7
32.8

10.8

334.5 1,168.3
....
....
....
....
334.5 1,168.3
....
....
411.6 1,119.9
10.0
50.0
87.1
1.6

35.5

21.0

73.3

12.2

.4

41.9

.8

47.7 1,832.4
604.0 1,660.1
....
....
604.0 1,660.1
....
.1
587.3
1,696.0
3.7
2.5
20.4
38.3

15.3

9.2

169.5
....
....
169.5
....
306.5
140.0
3.1

651.7
....
....
651.7
....
805.6
140.0
13.9

3,492.4
....
....
3,492.4
....
3,491.4
....
1.0

46.4

2.3

3.8
....
....
....
3.8

5.3
....
....
....
5.3

17.8
....
....
....
17.8

3.1
....
....
....
3.1

11.2
....
....
....
11.2

2,848.7 2,137.0

437.3

893.7

18.0

396.8

10.3
....
....
....
10.3

18.5

17.2

3.3

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
109
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bhutan

514
Table 1. ANALYTIC PRESENTATION, FISCAL YEARS 20052011 ENDING JUNE 30
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
....
79.1
143.4
28.1
20.2
142.2

354.9

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

....
....
....

539.9
843.3

662.2
1,184.7

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

....
....
....

81.7
113.7

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

....
....
....

183.9

47.8

145.3

146.0

381.2

638.3

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

....
....

163.5
58.7

147.9
52.2

168.4
51.2

161.5
35.7

276.1
37.2

338.3
54.9

B. Capital Account........................................... 20999F B AA

....

....

39.1

25.2

15.7

29.6

79.7

80.6

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....
....

39.1
....

40.0

25.2
....

168.6

15.7
....

12.4

29.6
....

9.4

79.7
....

62.5

80.6
....

274.3

C. Financial Account......................................... 30999F N AA

....

....

91.5

90.7

42.2

79.4

126.3

384.5

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

....
....
....

6.1
2.8
3.3

73.8
1.7
72.1

3.1
2.4
.7

6.5
6.5
....

19.0
19.0
....

16.4
10.5
5.9

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

1.6
....
1.6

.2
....
.2

.2
....
.2

21.1
....
21.1

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

....
....
....
....

85.4
....
85.4

16.9
....
16.9

37.5
....
37.5

73.1
....
73.1

107.6
....
107.6

347.0
....
347.0

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

Conversion rates: ngultrum per U.S. dollar...... RFZ F B

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

2006

2007

2008

311.6
479.7

571.0
526.6

44.4

74.2

92.9

303.4

51.7
60.6

60.2
54.9

54.6
91.5

56.5
73.0

68.9
85.9

168.0

597.0
671.2

2009

513.7
606.6

522.5

176.9

49.8

111.1

109.4

320.4

554.4

18.2
25.2

24.5
26.5

34.6
68.8

21.2
57.8

16.3
77.1

16.6
100.5

51.6

259.2

29.9

....

64.9

136.5

30.7

....

116.5

122.7

60.6

....
....
....

....
....
....

116.5
....
....

122.7
....
....

60.6
....
....

....

44.6086

44.7401

44.1904

40.3660

88.8

63.9

110.1

25.8

42.6

11.5

114.6

106.5

98.7

114.6
....
....

106.5
....
....

98.7
....
....

47.7769

46.6527

45.3330

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
110
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bhutan

514
Table 2. STANDARD PRESENTATION, FISCAL YEARS 20052011 ENDING JUNE 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
....
79.1
143.4
28.1
20.2
142.2
GOODS AND SERVICES..................................... 1Z9999 B XN
....
....
176.9
49.8
111.1
109.4
320.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

363.4
540.2
168.0
311.6
312.0
.4
....
479.7
479.7
....
8.9
51.7
60.6
....
....
....
....
12.5

631.2
581.5
44.4
571.0
573.3
2.3
....
526.6
526.6
....
5.4
60.2
54.9
....
....
....
....
18.6

651.6
762.7
74.2
597.0
598.8
1.8
....
671.2
671.2
....
36.9
54.6
91.5
....
....
....
....
10.2

570.2
679.6
92.9
513.7
516.1
2.4
....
606.6
606.6
....
16.5
56.5
73.0
....
....
....
....
8.6

608.8
929.1
303.4
539.9
544.5
4.6
....
843.3
843.3
....
17.0
68.9
85.9
....
....
....
....
23.6

354.9
554.4
743.9
1,298.3
522.5
662.2
665.3
3.1
....
1,184.7
1,184.7
....
31.9
81.7
113.7
....
....
....
....
29.5

....
....
2.2
....

....
....
3.6
....

....
....
4.9

....
....
4.6

....
4.9

....
4.8

23.0
....
23.0
22.4
3.7
18.7
16.2
....
5.2
....
.2
1.1
....
....
9.7
35.9
27.6
1.9
....
....
.7
2.4
....
3.2

28.3
....
28.2
26.0
4.7
21.3
13.4
....
1.4
....
.1
1.0
2.5
....
8.4
25.3
17.2
.4
.1
.1
.8
3.3
....
3.3

36.4
....
36.4
64.5
34.9
29.6
8.0
....
1.7
....
.2
1.1
1.0
....
4.0
22.1
16.0
.8
....
.1
1.3
.7
....
3.2

42.3
....
42.3
33.0
5.9
27.0
5.5
....
1.6
....
....
.9
....
....
3.0
35.5
22.0
.9
.3
.4
2.2
5.6
....
4.1

40.1
....
40.1
41.3
6.0
35.3
5.1
....
1.5
1.0
....
.6
....
....
2.0
39.7
22.1
1.7
.1
.2
2.2
8.4
....
5.0

46.9
....
46.9
56.0
8.0
48.1
5.4
....
2.3
.1
....
.7
....
....
2.3
52.8
26.7
2.4
.2
.2
2.9
14.6
....
5.8

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

7.0
18.2
25.2
1.0
16.4
17.2
....
....
....
....
....

2.0
24.5
26.5
1.3
10.9
23.1
....
....
....
....
....

34.2
34.6
68.8
1.6
13.1
33.0
....
....
....
....
....

36.6
21.2
57.8
1.8
20.7
19.4
....
....
....
....
....

60.8
16.3
77.1
1.5
27.3
14.8
....
....
....
....
....

83.8
16.6
100.5
1.2
49.3
15.4
....
....
....
....
....

12.5

.1
2.1

18.6

.2
3.4

10.2

.8
.2
3.9

8.6

1.2

....

3.3

23.5
.1
1.6
.1
3.2

29.4
.1
2.0
.1
2.7

_______________________________________________________________________________________________________________________________
111
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bhutan

514
Table 2 (Continued). STANDARD PRESENTATION, FISCAL YEARS 20052011 ENDING JUNE 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
17.2
....
17.2
....
....
....
....
8.8
.4
.4
.4
....
....
....
....
....
....
....
8.4
....
8.4
....
....
....

....
....
....
....
....
23.1
....
23.1
....
....
....
....
15.6
1.1
1.1
.4
.7
....
....
....
....
....
....
14.5
....
14.5
....
....
....

....
....
....
....
....
33.0
....
33.0
....
....
....
....
55.7
3.1
3.1
1.4
1.7
....
....
....
....
....
....
52.6
....
52.6
....
....
....

....
....
....
....
....
19.4
....
19.4
....
....
....
....
37.1
.8
.8
.2
1.1
....
....
....
....
....
....
37.9
....
37.9
....
....
....

....
....
....
....
....
14.8
....
14.8
....
....
....
....
49.8
4.0
4.0
....
4.0
....
....
....
....
....
....
45.8
....
45.8
....
....
....

....
....
....
....
....
15.4
....
15.4
....
....
....
....
51.1
3.7
3.7
.6
3.1
....
....
....
....
....
....
47.4
....
47.4
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

104.7
163.5
160.5
3.0
1.2
1.7
58.7
....
58.7
58.7
.1

95.6
147.9
144.4
3.5
1.6
1.9
52.2
....
52.2
49.6
2.6

117.2
168.4
165.0
3.4
1.9
1.4
51.2
....
51.2
47.9
3.3

125.8
161.5
156.5
5.0
3.1
1.9
35.7
....
35.7
33.3
2.4

238.9
276.1
261.4
14.7
6.7
8.0
37.2
....
37.2
36.0
1.2

283.3
338.3
322.0
16.2
9.2
7.0
54.9
1.1
53.8
48.8
5.0

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

39.1
....
....
39.1
39.1
....
39.1
....
....
....
....
....
....

25.2
....
....
25.2
25.2
....
25.2
....
....
....
....
....
....

15.7
....
....
15.7
15.7
....
15.7
....
....
....
....
....
....

29.6
....
....
29.6
29.6
....
29.6
....
....
....
....
....
....

79.7
....
....
79.7
79.7
....
79.7
....
....
....
....
....
....

80.6
....
....
80.6
80.6
....
80.6
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

....

24.9

32.1

18.3

35.2

19.9

285.8

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

6.1
....
....
....
....
....
....
....
....
....
....
....

73.8
....
....
....
....
....
....
....
....
....
....
....

3.1
....
....
....
....
....
....
....
....
....
....
....

6.5
....
....
....
....
....
....
....
....
....
....
....

19.0
....
....
....
....
....
....
....
....
....
....
....

16.4
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
112
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bhutan

514
Table 2 (Concluded). STANDARD PRESENTATION, FISCAL YEARS 20052011 ENDING JUNE 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

6.1
2.8
2.8
2.8
....
....
....
3.3
3.3
....
....

73.8
1.7
1.0
1.0
....
....
.7
72.1
72.1
....
....

3.1
2.4
.7
.7
....
....
1.7
.7
.7
....
....

6.5
6.5
7.6
7.6
....
....
1.1
....
....
....
....

19.0
19.0
15.0
15.0
....
....
4.0
....
....
....
....

16.4
10.5
7.4
7.4
....
....
3.1
5.9
5.9
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

85.4
....
....
....
....
....
....
....
....
85.4
....
....
85.4
....
....
77.7
7.8
....

16.9
....
....
....
....
....
....
....
....
16.9
....
....
16.9
....
....
17.7
.9
....

39.1
1.6
....
1.6
.8
.8
....
.1
....
37.5
....
....
37.5
55.1
2.9
12.8
1.8
....

72.8
.2
....
.2
.5
.1
....
.4
....
73.1
....
....
73.1
20.3
6.5
87.8
.8
....

107.4
.2
....
.2
....
.3
....
.5
....
107.6
....
9.4
98.2
11.6
6.0
82.7
2.1
....

368.1
21.1
....
21.1
.1
21.3
....
.1
....
347.0
....
....
347.0
72.2
2.2
275.0
2.4
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

....
....
....
....
....

116.5
....
....
....
116.4

122.7
....
.1
....
122.7

60.6
....
.1
....
60.5

114.6
....
....
....
114.6

106.5
....
9.4
....
97.1

98.7
....
....
....
98.7

NET ERRORS AND OMISSIONS.........................

....

....

64.9

136.5

30.7

25.8

42.6

11.5

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
113
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bhutan

514
Table 3. INTERNATIONAL INVESTMENT POSITION (End-June stocks), 2005-2011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
....
....
598.1
653.1
766.6
853.2
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.4
1.5
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.5
1.5
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
62.2
....
62.2
60.8
1.1
....
.3
....
535.9
....
.5
1.5
533.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
66.4
....
66.4
64.4
1.8
....
.3
....
586.6
....
.7
1.7
584.3

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
63.1
....
63.1
61.0
1.4
....
.7
....
703.5
....
.7
1.6
701.3

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
62.4
....
62.4
60.1
2.2
....
.2
....
790.8
....
9.5
1.5
779.8

970.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
62.9
....
62.9
60.6
2.3
....
....
....
907.8
....
10.3
1.6
895.9

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

886.0
17.9
15.8
15.8
....
....
2.1
2.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

873.7
20.6
18.0
18.0
....
....
2.6
2.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

903.5
26.7
24.3
24.3
....
....
2.4
2.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,017.8
45.7
43.2
43.2
....
....
2.4
2.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,477.1
63.5
55.0
55.0
....
....
8.5
8.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
114
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bhutan

514
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-June stocks), 2005-2011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: ngultrum per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
868.1
....
....
868.1
60.7
21.8
765.7
19.9
....

....
853.1
....
....
853.1
101.5
18.9
717.4
15.2
....

....
876.9
....
....
876.9
79.9
22.5
759.9
14.6
....

....
972.1
....
8.9
963.2
92.1
28.7
829.6
12.9
....

....
1,413.6
....
9.6
1,404.0
170.4
31.7
1,191.3
10.5
....

....

....

....

287.9

220.6

136.9

164.6

506.4

....

43.5150

45.0850

40.7550

42.9500

47.8800

46.6000

44.7200

_______________________________________________________________________________________________________________________________
115
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bolivia

218
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
622.4 1,317.5 1,591.2 1,992.7
813.5
873.7

537.2

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

2,622.2
2,182.6

439.6

1,029.9

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

657.2
682.0

687.4
824.8

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

3,662.0
2,632.1

2007

4,262.8
3,243.5

2008

2009

1,019.4

6,271.4
4,764.1

1,507.4

4,709.8
4,143.6

566.3

1,122.5

1,048.5

691.9
896.7

751.6
1,014.0

720.1
1,012.2

707.7
1,148.8

948.0
1,650.7

232.7
906.4

81.7
970.6

136.8
1,122.5

892.5

814.5

1,245.0

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

121.2
497.6

38.4

235.4
632.7

495.2

369.8
859.3

325.1

346.4
882.8

708.6

399.6

207.5

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

648.7
64.7

895.1
72.9

1,344.9
78.7

1,391.0
106.9

1,315.4
102.3

1,187.6
106.3

1,299.3
122.2

B. Capital Account........................................... 20999F B AA

....

8.7

1,813.2

1,180.2

9.7

110.5

7.2

5.9

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

8.7
....

631.1

1,813.2
....

3,130.7

1,180.2
....

2,771.4

9.7
....

2,002.4

110.5
....

924.1

7.2
....

5.9
....

C. Financial Account......................................... 30999F N AA

....

180.6

1,588.6

794.6

370.3

69.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

3.0
3.0
....

3.0
3.0
....

3.0
3.0
....

3.0
3.0
....

3.0
3.0
....

28.8
28.8
....

.3
.3
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

238.6
91.3
147.3

280.8
225.3
55.5

366.3
151.6
214.7

512.3
280.1
232.2

423.0
504.8
81.7

622.0
773.6
151.7

858.9
901.6
42.7

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

153.4
....
153.4

25.1
....
25.1

29.9
....
29.9

208.1
....
208.1

153.6
....
153.6

90.1
....
90.1

156.0
....
156.0

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

123.8
....
123.8

262.4
....
262.4

100.8
....
100.8

222.8
....
222.8

425.8
....
425.8

32.3
....
32.3

127.8
....
127.8

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

451.8
....
451.8

811.7

1,629.1
....
1,629.1

1,228.8
....
1,228.8

291.9
....
291.9

229.1
....
229.1

151.4
....
151.4

636.0
....
636.0

D. Net Errors and Omissions............................. 40999S N AA

....

374.5

103.3

E. Reserves and Related Items.......................... 4Z999S N AA

....

437.2

1,438.8

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

463.4
39.2
65.3

1,286.3
232.9
80.4

Conversion rates: bolivianos per U.S. dollar..... RFZ F B

....

8.0661

8.0116

1,976.8

681.4

8,174.8
7,126.4

414.8

1,542.1

274.2

6,129.3
5,006.8

866.6

345.8

640.0

543.1

860.1 1,522.8

2,372.7

993.8

1,726.7

2,066.0

111.7

1.5

453.6

802.3

94.8

1,865.1

2,374.2

540.2

924.3

2,160.8

1,937.7
14.6
87.3

2,374.2
....
....

540.2
....
....

924.3
....
....

2,160.8
....
....

7.8512

7.2383

7.0200

7.0167

6.9370

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
116
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bolivia

218
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
622.4 1,317.5 1,591.2 1,992.7
813.5
873.7
GOODS AND SERVICES..................................... 1Z9999 B XN
....
414.8
892.5
814.5 1,245.0
274.2
681.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,279.4
2,864.5
439.6
2,622.2
2,545.0
.5
77.8
2,182.6
2,182.6
....
24.8
657.2
682.0
159.2
....
9.2
....
144.4

4,349.4
3,456.9
1,029.9
3,662.0
3,537.6
1.7
126.1
2,632.1
2,632.1
....
137.4
687.4
824.8
187.9
....
22.9
....
112.6

4,954.7
4,140.2
1,019.4
4,262.8
4,140.4
.6
123.0
3,243.5
3,243.5
....
204.8
691.9
896.7
194.9
....
....
....
66.6

7,023.1
5,778.1
1,507.4
6,271.4
6,129.8
.5
142.2
4,764.1
4,764.1
....
262.4
751.6
1,014.0
254.6
....
....
....
64.2

5,430.0
5,155.8
566.3
4,709.8
4,594.2
.8
116.5
4,143.6
4,143.6
....
292.1
720.1
1,012.2
206.9
....
....
....
65.5

6,837.0
6,155.6
1,122.5
6,129.3
6,035.4
1.3
95.2
5,006.8
5,006.8
....
441.1
707.7
1,148.8
159.9
....
....
....
67.7

537.2
345.8
9,122.9
8,777.1
1,048.5
8,174.8
8,080.4
.8
95.2
7,126.4
7,126.4
....
702.7
948.0
1,650.7
156.3
....
....
....
220.4

234.1

274.4

303.6

400.9

383.2

466.4

735.1

238.6
68.4
170.2
186.4
46.7
139.7
105.7
.4
35.4
7.0
1.9
35.9
7.5
1.4
16.2
261.5
7.4
120.7
1.9
11.2
23.6
72.0
6.0
18.7

244.1
65.0
179.1
272.6
83.0
189.5
119.9
.4
40.0
9.2
1.8
42.1
10.3
1.2
14.9
277.8
10.0
120.0
2.0
14.4
26.1
79.6
7.6
18.3

292.0
75.3
216.7
303.6
101.9
201.7
138.4
.4
41.0
11.5
2.0
55.9
10.7
1.3
15.6
289.5
15.6
108.2
2.1
16.2
35.1
86.3
9.4
16.6

274.9
79.1
195.8
281.1
119.9
161.2
158.0
.5
49.0
13.1
2.3
60.6
13.6
1.5
17.5
332.0
17.6
127.9
2.6
17.8
38.7
95.9
10.2
21.3

279.0
89.9
189.1
289.6
114.0
175.7
168.8
.5
56.7
11.8
2.5
63.6
14.3
1.5
17.9
339.4
18.5
127.7
2.8
18.7
41.0
98.0
10.4
22.4

309.7
93.6
216.1
312.8
110.0
202.8
170.4
.5
56.8
10.4
2.8
63.5
14.8
1.7
19.9
369.6
18.9
145.7
3.0
19.8
44.0
103.0
11.4
23.8

379.6
110.1
269.5
298.0
89.4
208.6
191.7
.6
65.9
2.3
7.2
83.0
10.2
1.5
21.0
617.6
25.2
189.7
10.7
20.8
53.3
278.7
13.7
25.5

....
....
....
....
....
....
....
....
....
....
....

376.4
121.2
497.6
33.5
7.4
87.7
3.0
3.0
....
3.0
....

397.2
235.4
632.7
33.5
7.4
202.0
3.0
3.0
....
3.0
....

489.4
369.8
859.3
34.9
7.4
334.9
3.0
3.0
....
3.0
....

536.4
346.4
882.8
37.5
7.4
308.9
3.0
3.0
....
3.0
....

673.8
232.7
906.4
35.0
7.3
197.7
3.0
3.0
....
3.0
....

888.9
81.7
970.6
20.9
1.9
60.8
28.8
28.8
....
28.8
....

985.8
136.8
1,122.5
30.7
3.4
106.1
.3
.3
....
.3
....

106.0
13.3
25.1
70.7
121.1
42.2

86.0
8.9
17.7

87.1
137.0
50.4

34.1
11.9
20.6

81.1
169.4
53.2

27.0
12.2
25.0

99.8
251.3
49.8

27.3
12.8
25.4

97.5
234.1
51.6

29.1
13.4
25.2

107.7
305.8
52.8

118.6
57.8
44.1

111.8
539.2
84.1

_______________________________________________________________________________________________________________________________
117
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bolivia

218
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

84.7
....
....
....
84.7
....
....
....
....
....
....
....
490.2
270.7
207.3
177.0
30.3
63.4
....
....
....
....
....
219.5
....
219.5
....
....
....

199.0
....
....
....
199.0
....
....
....
....
....
....
....
625.3
391.5
315.9
49.8
266.1
75.6
....
....
....
....
....
233.8
....
233.8
....
....
....

331.9
....
....
....
331.9
....
....
....
....
....
....
....
851.9
643.9
564.4
292.6
271.8
79.5
....
....
....
....
....
208.0
....
208.0
....
....
....

305.9
....
....
....
305.9
....
....
....
....
....
....
....
875.4
680.7
655.5
248.5
407.0
25.2
....
....
....
....
....
194.7
....
194.7
....
....
....

194.7
....
....
....
194.7
....
....
....
....
....
....
....
899.2
768.9
653.8
144.6
509.3
115.0
....
....
....
....
....
130.3
....
130.3
....
....
....

89.6
....
....
....
89.6
....
....
....
....
....
....
....
968.8
863.3
772.3
....
772.3
91.0
....
....
....
....
....
105.4
....
105.4
....
....
....

105.8
....
....
....
105.8
....
....
....
....
....
....
....
1,119.1
976.7
899.2
.3
898.9
77.5
....
....
....
....
....
142.4
....
142.4
....
....
....

....
....
....
....
....
....
....
....
....
....
....

584.0
648.7
309.2
339.5
303.5
36.0
64.7
2.2
62.5
59.3
3.1

822.3
895.1
297.4
597.8
569.5
28.3
72.9
3.3
69.6
65.8
3.8

1,266.2
1,344.9
231.1
1,113.8
1,020.5
93.3
78.7
2.5
76.2
71.5
4.7

1,284.1
1,391.0
199.2
1,191.8
1,097.2
94.5
106.9
4.0
102.9
98.5
4.4

1,213.2
1,315.4
197.2
1,118.2
1,023.0
95.2
102.3
2.5
99.7
96.2
3.5

1,081.3
1,187.6
153.1
1,034.5
939.3
95.1
106.3
2.7
103.5
99.9
3.6

1,177.2
1,299.3
200.3
1,099.0
1,012.3
86.7
122.2
4.7
117.4
113.8
3.6

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

8.7
....
....
8.7
....
....
....
8.7
....
....
....
....
....

1,813.2
....
....
1,813.2
1,804.3
1,804.3
....
8.9
....
....
....
....
....

1,180.2
....
....
1,180.2
1,171.0
1,171.0
....
9.2
....
....
....
....
....

9.7
....
....
9.7
....
....
....
9.7
....
....
....
....
....

110.5
....
....
110.5
77.3
77.3
....
33.2
....
....
....
....
....

7.2
....
....
7.2
....
....
....
7.2
....
....
....
....
....

5.9
....
....
5.9
....
....
....
5.9
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

256.6

3,027.4

2,659.7

2,003.9

470.5

64.2

637.9

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

241.6
3.0
3.0
....
....
....
....
3.0
....
....
....
....

277.8
3.0
3.0
....
....
....
....
3.0
....
....
....
....

363.3
3.0
3.0
....
....
....
....
3.0
....
....
....
....

509.3
3.0
3.0
....
....
....
....
3.0
....
....
....
....

420.0
3.0
3.0
....
....
....
....
3.0
....
....
....
....

650.8
28.8
28.8
....
....
....
....
28.8
....
....
....
....

858.7
.3
.3
....
....
....
....
.3
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
118
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bolivia

218
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

238.6
91.3
121.6
121.6
....
....
30.3
147.3
147.3
....
....

280.8
225.3
40.8
40.8
....
....
266.1
55.5
55.5
....
....

366.3
151.6
120.2
120.2
....
....
271.8
214.7
214.7
....
....

512.3
280.1
126.8
126.8
....
....
407.0
232.2
232.2
....
....

423.0
504.8
4.5
4.5
....
....
509.3
81.7
81.7
....
....

622.0
773.6
1.3
1.3
....
....
772.3
151.7
151.7
....
....

858.9
901.6
2.7
2.7
....
....
898.9
42.7
42.7
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

153.4
153.4
....
....
....
....
....
....
153.4
....
84.0
....
69.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....

25.1
25.1
....
....
....
....
....
....
25.1
....
28.5
....
3.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....

29.9
29.9
....
....
....
....
....
....
29.9
....
10.2
....
19.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....

208.1
208.1
....
....
....
....
....
....
208.1
....
65.8
....
142.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....

153.6
153.6
....
....
....
....
....
....
153.6
....
264.0
....
110.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....

90.1
90.1
....
....
....
....
....
....
90.1
....
17.9
....
72.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....

156.0
156.0
....
....
....
....
....
....
156.0
....
236.1
....
80.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

601.8 2,043.9 1,055.3


123.8
262.4
100.8
....
....
....
123.8
262.4
100.8
....
....
....
131.7
105.2
137.2
12.1
1.5
14.5
267.6
158.7
21.9
....
....
....
478.0 1,781.5 1,156.2
....
....
....
....
....
....
478.0 1,781.5 1,156.2
38.3
231.7
14.6
1.9
20.5
57.8
197.7 1,552.1 1,045.5
320.5
22.7
38.3
....
....
....

69.1
222.8
....
222.8
....
84.9
6.4
131.5
....
291.9
....
....
291.9
....
109.9
176.1
5.8
....

196.7
425.8
....
425.8
....
238.0
6.4
181.4
....
229.1
....
214.6
14.6
....
34.9
83.6
34.2
....

119.1
32.3
....
32.3
....
18.5
18.3
32.4
....
151.4
....
....
151.4
....
117.5
172.1
96.8
....

508.2
127.8
....
127.8
....
10.1
15.3
133.0
....
636.0
....
....
636.0
....
72.9
809.3
246.2
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA


Monetary gold.............................................................. 3EA000 A AA
Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

463.4
....
.3
....
463.1

1,286.3
.2
....
....
1,286.5

1,937.7
.2
.1
....
1,937.4

2,374.2
.3
1.1
....
2,372.8

540.2
.4
214.6
....
325.2

924.3
246.0
....
....
678.3

2,160.8
309.3
....
....
1,851.5

NET ERRORS AND OMISSIONS.........................

....

374.5

103.3

111.7

1.5

453.6

802.3

94.8

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
119
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bolivia

218
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
4,200.1 6,196.9 8,459.7 12,029.7 13,407.1 14,144.3 16,492.8
Direct investment............................................. 8A9999 A AA
....
296.9
90.2
94.2
63.8
49.5
7.7
....
Equity and investment fund shares................. 8AA000 A AA
....
29.1
32.1
36.1
43.1
28.8
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

29.1
....
....
267.8
58.1
209.7
....
587.2
....
....
....
....
....
....
587.2
....
277.8
....
309.5
....
....
1,356.6
....
1,356.6
170.4
458.7
145.6
581.9
....
1,959.3
470.6
38.2
12.7
1,437.8

32.1
....
....
58.1
58.1
....
....
562.2
....
....
....
....
....
....
562.2
....
249.2
....
312.9
....
....
2,352.2
....
2,352.2
331.8
563.9
152.1
1,304.4
....
3,192.4
577.6
40.2
13.4
2,561.2

36.1
....
....
58.1
58.1
....
....
484.8
....
....
....
....
....
....
484.8
....
259.4
....
225.4
....
....
2,561.7
....
2,561.7
343.7
426.7
150.9
1,640.4
....
5,319.0
764.3
42.3
14.0
4,498.4

43.1
....
....
20.7
20.7
....
....
583.8
....
....
....
....
....
....
583.8
....
325.2
....
258.6
....
....
3,660.2
....
3,660.2
355.2
511.6
157.7
2,635.7
....
7,721.8
794.5
42.3
13.7
6,871.4

28.8
....
....
20.7
20.7
....
....
885.6
....
....
....
....
....
....
885.6
....
589.2
....
296.4
....
....
3,890.6
....
3,890.6
364.9
749.6
157.9
2,618.2
....
8,581.4
997.6
258.5
13.9
7,311.4

....
....
....
....
....
....
7.7
....
7.7
....
....
....
....
....
761.4
550.1
....
....
....
....
....
....
....
....
....
....
....
....
761.4
550.1
....
....
571.3
335.2
....
....
190.1
214.8
....
....
....
....
3,645.1 3,923.0
....
....
3,645.1 3,923.0
423.5
404.6
731.1
745.3
157.9
160.2
2,332.6
2,612.8
....
....
9,730.0 12,019.8
1,596.2
2,109.1
254.0
253.2
13.7
13.6
7,866.2
9,643.9

. . . . 11,457.0
....
5,114.2
....
3,506.4
....
3,506.4
....
....
....
....
....
1,607.8
....
1,607.8
....
....
....
....
....
41.8
....
40.9
....
....
....
9.0
....
....
....
31.9
....
....
....
.9
....
....
....
....
....
....
....
.9
....
....

9,860.9
5,118.9
3,635.2
3,635.2
....
....
1,483.7
1,483.7
....
....
41.8
40.9
....
9.2
....
31.8
....
.9
....
....
....
.9
....

9,190.9
5,485.0
3,580.4
3,580.4
....
....
1,904.6
1,904.6
....
....
127.3
126.5
....
28.0
....
98.5
....
.9
....
....
....
.9
....

9,916.4 10,374.1 11,017.8 12,518.3


5,998.0 6,421.1 6,869.1 7,728.0
3,859.9 4,263.2 5,035.1 5,936.7
3,859.9
4,263.2
5,035.1
5,936.7
....
....
....
....
....
....
....
....
2,138.1 2,157.8 1,834.0 1,791.3
2,138.1
2,157.8
1,834.0
1,791.3
....
....
....
....
....
....
....
....
37.5
32.6
30.0
35.6
36.6
32.6
30.0
35.6
....
....
....
....
15.4
15.6
17.6
21.2
....
....
....
....
21.3
17.1
12.4
14.4
....
....
....
....
.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.9
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
120
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bolivia

218
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: bolivianos per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
6,301.0
....
38.2
6,262.8
294.7
312.5
4,408.1
1,247.5
....

....
4,700.2
....
40.2
4,660.0
68.3
291.5
2,975.8
1,324.4
....

....
3,578.6
....
42.2
3,536.4
44.4
139.0
2,089.7
1,263.2
....

....
3,881.0
....
41.1
3,839.8
48.0
198.6
2,275.0
1,318.2
....

....
3,920.4
....
257.3
3,663.1
....
152.0
2,443.1
1,068.0
....

....
4,118.7
....
252.8
3,865.9
....
152.8
2,682.8
1,030.3
....

....
4,754.7
....
252.0
4,502.8
....
116.8
3,086.2
1,299.7
....

7,256.9 3,663.9

731.2

2,113.2

3,033.0

3,126.6

3,974.5

7.6200

7.0200

7.0200

6.9900

6.9100

....
....

8.0400

7.9800

_______________________________________________________________________________________________________________________________
121
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bosnia and Herzegovina

963
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to 2006 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
A. Current Account.......................................... 10999F B XN
. . . . 1,844.4
998.1 1,972.9 3,357.0 1,875.1 1,741.8 2,595.8
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

3,876.0

3,232.5

4,155.1

5,515.9

3,515.4

3,301.4

4,228.6

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

2,171.9
140.3

2,399.1
164.7

2,240.7
58.5

2,205.9
47.0

1,689.8
49.4

1,600.8
41.1

1,681.5
48.7

B. Capital Account........................................... 20999F B AA

....

281.3

294.1

291.9

288.8

249.2

255.2

253.9

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

281.3
....

1,563.1

294.1
....

291.9
....

288.8
....

249.2
....

255.2
....

253.9
....

C. Financial Account......................................... 30999F N AA

....

1,827.9 1,299.5 2,621.2 2,839.2 1,209.7 1,348.4 2,195.4

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

16.4
.7
17.2

81.8
2.8
79.0

64.6
22.1
42.5

39.4
11.6
27.8

93.5
2.1
91.4

81.1
46.3
34.7

2.4
14.1
11.7

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

623.8
314.1
309.8

846.0
539.5
306.4

1,804.0
1,660.5
143.5

1,004.9
588.5
416.4

138.5
202.0
340.5

329.1
37.9
291.2

379.8
269.4
110.4

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

2.6
....
2.6

.4
....
.4

4.8
.9
3.9

13.0
1.2
11.8

192.8
1.4
194.2

86.7
1.2
87.9

5.7
.2
5.9

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

7.5
....
7.5

7.7
....
7.7

11.4
....
11.4

35.0
....
35.0

40.8
....
40.8

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

305.1
....
305.1

21.1
....
21.1

434.5
....
434.5

319.7
....
319.7

730.3
....
730.3

1,453.2
....
1,453.2

1,420.3
....
1,420.3

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

912.9
....
912.9

264.8

514.7
....
514.7

595.5

1,319.0
12.4
1,331.4

1,574.8
4.1
1,570.7

229.0

451.6
.6
451.0

416.1

231.2
2.6
233.8

138.2

432.7
7.3
440.0

146.5

D. Net Errors and Omissions............................. 40999S N AA

....

226.6

165.3

47.8

71.4

79.0

77.9

122.4

E. Reserves and Related Items.......................... 4Z999S N AA

....

491.4

760.8

892.4

300.4

337.1

60.3

24.1

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

461.4
39.4
9.3

789.6
44.1
72.9

874.1
18.3
....

302.8
2.4
....

53.7
283.4
....

178.7
239.1
....

24.1
....
....

Conversion rates: convertible marka per U.S.


dollar............................................................. RFZ F B

....

1.5727

1.5591

1.4290

1.3352

1.4079

1.4767

1.4069

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

2,555.3
7,454.2

3,381.4
7,679.4

1,967.9
8,255.0

2,559.7
10,582.0

2,298.7
7,846.6

2,896.4
8,056.8

3,653.3
9,590.6

4,898.9

4,298.0

6,287.1

8,022.3

5,547.9

5,160.4

5,937.3

989.0
435.6

1,139.7
466.7

2,121.3
495.9

2,385.9
589.5

1,992.3
639.4

1,999.7
536.5

2,061.6
578.7

4,345.5

3,624.9

4,661.7

6,225.9

4,194.9

3,697.2

4,454.4

682.3
212.8

732.6
340.1

1,091.9
585.3

1,244.1
534.2

897.8
218.2

596.7
201.0

664.2
438.4

704.0

1,681.0

940.2

3,068.2

1,625.8

1,486.6

2,341.9

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
122
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bosnia and Herzegovina

963
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to 2006 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 1,844.4
998.1 1,972.9 3,357.0 1,875.1 1,741.8 2,595.8
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 4,345.5 3,624.9 4,661.7 6,225.9 4,194.9 3,697.2 4,454.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
3,544.3
4,521.2
4,089.2
4,945.6
4,291.0
4,896.1
5,715.0
....
7,889.8
8,146.1
8,750.9 11,171.5
8,486.0
8,593.3 10,169.3
. . . . 4,898.9 4,298.0 6,287.1 8,022.3 5,547.9 5,160.4 5,937.3
....
2,555.3 3,381.4 1,967.9 2,559.7 2,298.7 2,896.4 3,653.3
....
2,555.3
3,381.4
1,967.9
2,559.7
2,298.7
2,896.4
3,653.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
7,454.2 7,679.4 8,255.0 10,582.0 7,846.6 8,056.8 9,590.6
....
7,454.2
7,679.4
8,255.0 10,582.0
7,846.6
8,056.8
9,590.6
....
....
....
....
....
....
....
....
....
553.4
673.0 1,625.4 1,796.3 1,352.9 1,463.2 1,482.9
....
989.0
1,139.7
2,121.3
2,385.9
1,992.3
1,999.7
2,061.6
....
435.6
466.7
495.9
589.5
639.4
536.5
578.7
....
....
....
772.7
853.2
656.3
797.7
848.7
....
....
....
4.6
43.1
20.6
2.6
12.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
110.7
130.2
259.6
307.3
284.5
282.5
334.4
38.1
51.3
79.6
87.7
78.9
72.6
86.7
....
....
69.9
77.1
152.3
181.0
175.5
181.4
222.5
....
2.7
1.8
27.7
38.6
30.2
28.5
25.1
....
202.9
165.5
183.6
217.6
222.8
181.3
211.7
....
36.4
40.4
60.7
63.9
53.9
53.0
54.0
....
163.1
121.2
84.9
109.2
113.5
76.6
100.1
....
3.4
4.0
38.0
44.6
55.5
51.8
57.6
....
518.6
606.9
723.9
824.6
674.4
588.8
632.4
....
44.9
44.7
48.8
52.2
45.1
41.5
41.0
....
473.7
562.2
675.1
772.4
629.4
547.3
591.5
....
122.5
170.0
203.3
281.5
231.1
193.7
184.5
....
32.1
34.0
41.1
40.8
35.0
30.8
30.8
....
90.4
136.0
162.1
240.6
196.1
162.9
153.6
....
359.7
402.6
365.1
400.8
377.1
330.7
246.1
....
149.6
205.2
217.8
231.3
208.6
168.9
85.5
....
5.1
8.8
1.7
2.3
1.8
2.3
2.6
....
23.7
2.0
2.2
2.7
2.5
2.5
2.5
....
....
3.7
4.3
4.8
12.4
15.1
12.8
....
116.0
121.6
126.4
142.7
134.0
126.5
132.7
....
63.0
59.0
9.3
12.5
12.5
11.6
5.8
....
....
....
....
.8
1.0
.5
1.0
....
2.3
2.4
3.4
3.8
4.1
3.3
3.2
....
110.2
131.2
113.6
133.5
206.0
158.9
170.5
....
8.7
13.1
5.6
11.5
38.2
18.7
36.9
....
22.6
24.2
4.3
4.7
4.2
4.3
5.5
....
11.8
12.3
16.9
11.8
7.5
10.6
12.3
....
....
8.3
10.4
12.6
6.4
5.8
4.9
....
56.3
58.5
60.2
68.9
80.5
80.4
81.1
....
....
6.1
7.6
9.1
54.7
20.4
9.8
....
....
....
....
5.0
5.2
10.9
12.1
....
10.7
8.7
8.7
9.9
9.3
7.8
8.0
....
....
....
....
....
....
....
....
....
....
....

469.5
682.3
212.8
570.4
12.3
111.9
....
....
....
....
....

392.4
732.6
340.1
560.0
13.6
172.5
....
....
....
....
....

506.6
1,091.9
585.3
739.0
15.2
288.2
1.8
.6
....
.6
1.2

710.0
1,244.1
534.2
818.3
17.0
346.7
5.4
....
....
....
5.4

679.5
897.8
218.2
695.3
15.1
140.7
8.6
....
....
....
8.6

395.8
596.7
201.0
479.3
12.6
66.2
3.6
1.0
....
1.0
2.6

225.7
664.2
438.4
529.5
13.0
92.1
2.2
.3
....
.3
2.5

_______________________________________________________________________________________________________________________________
123
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bosnia and Herzegovina

963

Table 2 (Continued). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
111.9
....
111.9
....
....
....
....
200.5
96.9
57.2
24.3
33.0
39.6
....
....
....
....
....
103.7
....
103.7
....
....
....

....
....
....
....
....
172.5
....
172.5
....
....
....
....
326.6
175.3
146.3
27.1
119.2
29.0
....
....
....
....
....
151.3
....
151.3
....
....
....

....
....
....
....
....
117.3
....
117.3
....
169.2
....
169.2
570.1
345.0
287.6
145.9
141.8
57.4
....
....
....
....
....
225.1
....
225.1
....
64.7
....

....
....
....
....
....
128.4
....
128.4
....
212.9
....
212.9
517.2
187.1
172.5
154.7
17.8
14.7
....
....
....
....
....
330.0
....
330.0
....
79.1
....

....
....
....
....
....
35.6
....
35.6
....
96.5
.4
96.1
203.1
104.4
151.8
271.0
422.8
47.4
....
....
....
....
....
307.5
....
307.5
....
61.7
....

....
....
....
....
....
35.4
....
35.4
....
27.1
....
27.1
188.4
36.7
73.5
177.6
251.0
36.7
....
....
....
....
....
225.1
....
225.1
....
51.3
....

....
....
....
....
....
48.2
....
48.2
....
41.8
.5
41.3
425.4
199.5
153.1
159.4
6.3
46.5
....
....
....
....
....
225.9
....
225.9
....
42.5
....

....
....
....
....
....
....
....
....
....
....
....

2,031.6
2,171.9
312.0
1,859.9
1,467.3
392.5
140.3
....
140.3
27.7
112.5

2,234.4
2,399.1
297.7
2,101.4
1,588.9
512.5
164.7
....
164.7
40.9
123.8

2,182.2
2,240.7
265.8
1,974.9
1,947.5
27.5
58.5
....
58.5
50.2
8.3

2,158.9
2,205.9
273.8
1,932.1
1,899.4
32.7
47.0
....
47.0
38.3
8.7

1,640.3
1,689.8
231.5
1,458.3
1,431.7
26.6
49.4
....
49.4
39.9
9.5

1,559.7
1,600.8
222.6
1,378.2
1,343.0
35.2
41.1
....
41.1
33.9
7.3

1,632.8
1,681.5
212.5
1,468.9
1,428.7
40.2
48.7
....
48.7
38.7
10.0

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

281.3
....
....
281.3
156.1
....
156.1
125.1
....
....
....
....
....

294.1
....
....
294.1
148.7
....
148.7
145.4
....
....
....
....
....

291.9
....
....
291.9
143.7
....
143.7
148.2
....
....
....
....
....

288.8
....
....
288.8
156.3
....
156.3
132.5
....
....
....
....
....

249.2
....
....
249.2
141.9
....
141.9
107.4
....
....
....
....
....

255.2
....
....
255.2
161.2
....
161.2
94.0
....
....
....
....
....

253.9
....
....
253.9
153.9
....
153.9
100.0
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1,336.5

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

607.4
16.4
.7
.7
.7
....
....
....
17.2
1.2
16.0
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

538.8 1,728.8 3,139.6 1,546.8 1,408.7 2,219.5


764.1 1,739.4
81.8
64.6
2.8
22.1
2.8
21.5
2.8
21.5
....
....
....
....
....
.6
79.0
42.5
1.3
6.4
77.7
36.2
....
....

965.4
39.4
11.6
11.6
11.6
....
....
....
27.8
2.0
23.1
2.8

232.0
93.5
2.1
2.1
2.1
....
....
....
91.4
6.2
98.4
13.2

248.1
81.1
46.3
45.3
45.3
....
....
1.0
34.7
1.9
33.7
.9

377.4
2.4
14.1
14.4
14.1
....
.3
.3
11.7
2.7
20.8
11.8

_______________________________________________________________________________________________________________________________
124
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bosnia and Herzegovina

963

Table 2 (Concluded). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

623.8
314.1
281.1
281.1
....
....
33.0
309.8
309.8
....
....

846.0
539.5
420.3
420.3
....
....
119.2
306.4
306.4
....
....

1,804.0
1,660.5
1,518.8
1,518.8
....
....
141.8
143.5
142.8
....
.7

1,004.9
588.5
570.6
570.6
....
....
17.8
416.4
330.2
....
86.2

138.5
202.0
220.8
220.8
....
....
422.8
340.5
307.9
....
32.7

329.1
37.9
289.0
289.0
....
....
251.0
291.2
190.2
....
101.1

379.8
269.4
275.7
275.7
....
....
6.3
110.4
79.0
....
31.4

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2.6
2.6
....
....
....
....
....
....
2.6
....
2.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.4
.4
....
....
....
....
....
....
.4
....
.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2.7
4.8
.9
....
....
.9
....
....
3.9
....
3.6
....
.3
....
7.5
....
....
....
....
....
....
7.5
....
....
7.5
....
....

20.7
13.0
1.2
....
....
1.2
....
....
11.8
....
10.4
....
1.4
....
7.7
....
....
....
....
....
....
7.7
....
....
7.7
....
....

204.2
192.8
1.4
....
....
1.4
....
....
194.2
....
190.8
....
3.3
....
11.4
....
....
....
....
....
....
11.4
....
....
11.4
....
....

121.7
86.7
1.2
....
....
1.2
....
....
87.9
....
87.8
....
.1
....
35.0
....
....
....
....
....
....
35.0
....
....
35.0
....
....

35.0
5.7
.2
....
....
.2
....
....
5.9
....
11.3
....
5.5
....
40.8
....
....
....
....
....
....
40.8
....
....
40.7
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

. . . . 1,187.9
....
305.1
....
....
....
305.1
....
....
....
126.0
....
....
....
431.0
....
....
....
882.8
....
....
....
....
....
882.8
....
39.3
....
395.3
....
59.8
....
467.1
....
....

564.6
21.1
....
21.1
....
150.4
....
171.5
....
543.6
....
....
543.6
44.1
197.8
5.7
384.2
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

866.2 1,892.2 1,465.3 1,461.1 1,853.0


434.5
319.7
730.3 1,453.2 1,420.3
....
....
....
....
....
434.5
319.7
730.3 1,453.2 1,420.3
....
....
....
....
....
837.5
389.3
120.7
332.5
49.9
40.7
167.1
97.7
58.2
102.4
362.3
97.5
511.9 1,062.6 1,268.0

12.6

13.7

11.7

12.3

11.7

1,300.7
12.4
....
1,313.2
18.3
773.7
27.3
585.1

1,572.4
4.1
....
1,568.3
2.4
909.9
5.1
665.9

735.0
.6
219.3
515.1
.3
264.2
364.4
415.2

7.9
2.6
....
5.2
.4
644.4
486.4
162.9

432.7
7.3
....
440.0
.5
418.5
116.3
742.7

.4

.3

.4

2.6

1.3

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

461.4
....
.1
....
461.5

789.6
....
....
....
789.6

874.1
....
.1
....
874.3

302.8
....
....
....
302.8

53.7
38.3
1.6
.1
93.7

178.7
12.1
4.0
....
194.9

24.1
48.0
.7
....
72.8

NET ERRORS AND OMISSIONS.........................

....

226.6

165.3

47.8

71.4

79.0

77.9

122.4

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
125
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bosnia and Herzegovina

963

Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

8,070.0
256.9
127.3
127.3
....
....
129.6
11.8
97.7
20.0
282.9
1.3
....
1.3
....
....
....
281.6
....
276.8
....
4.8
....
....
3,099.4
2.0
3,097.4
....
1,644.5
200.2
1,252.6
....
4,430.9
45.7
....
.1
4,385.1

7,677.0
249.2
136.7
136.4
....
.3
112.5
8.9
73.5
30.0
261.7
1.4
....
1.4
....
....
....
260.3
....
250.5
....
9.8
....
....
2,898.2
2.5
2,895.7
....
1,547.0
94.1
1,254.6
....
4,268.0
100.1
.7
.1
4,167.1

Data reported to the IMF on a BPM5 basis for 2005 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
ASSETS.............................................................. 80999S A AA
....
4,659.4 6,461.8 9,370.4 8,801.4
Direct investment............................................. 8A9999 A AA
....
69.0
165.3
256.4
283.8
Equity and investment fund shares................. 8AA000 A AA
....
45.2
53.4
83.2
89.6
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

53.4
....
....
111.9
7.6
104.3
....
14.3
3.5
....
3.5
....
....
....
10.8
....
10.8
....
....
....
....
2,563.3
2.7
2,560.6
....
1,572.9
206.2
781.5
....
3,718.9
29.2
.4
....
3,689.4

83.2
....
....
173.2
15.1
158.1
....
11.2
3.0
....
3.0
....
....
....
8.2
....
8.1
....
.2
....
....
4,004.5
3.1
4,001.5
....
2,667.4
260.5
1,073.5
....
5,098.3
35.6
.3
....
5,062.4

89.6
....
....
194.2
16.1
171.3
6.7
23.6
3.9
....
3.9
....
....
....
19.7
....
18.0
....
1.7
....
....
3,957.7
3.3
3,954.4
....
2,188.3
321.8
1,444.3
....
4,536.3
36.7
.3
....
4,499.3

8,903.4
195.7
91.4
91.4
....
....
104.3
10.7
70.3
23.3
216.0
2.6
....
2.6
....
....
....
213.4
....
207.1
....
6.3
....
....
3,895.5
2.4
3,893.2
....
2,140.2
271.1
1,481.9
....
4,596.2
46.6
4.2
.1
4,545.2

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

45.2
....
....
23.8
5.5
18.2
....
5.9
.9
....
.9
....
....
....
5.0
....
5.0
....
....
....
....
1,997.8
....
1,997.8
....
1,259.6
102.8
635.4
....
2,586.8
21.9
.3
....
2,564.6

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8,183.8 10,336.7 15,148.8 17,024.5 18,890.4 17,805.0 17,744.8


2,319.8 3,307.0 5,555.0 6,274.0 6,937.9 6,758.6 7,053.0
1,988.2 2,839.9 4,880.7 5,187.2 5,443.5 5,085.8 5,115.8
1,988.2
2,839.9
4,880.6
5,187.1
5,443.4
5,085.7
5,115.8
....
....
....
....
....
....
....
....
.1
.1
.1
.1
.1
....
331.6
467.1
674.3 1,086.8 1,494.4 1,672.8 1,937.2
331.6
454.1
657.3
963.1
1,307.9
1,397.9
1,634.2
....
....
....
....
....
....
....
....
13.0
17.0
123.7
186.5
274.9
303.1
47.9
169.3
181.7
164.5
480.1
409.7
358.7
47.9
....
....
....
....
....
....
....
....
....
....
....
....
....
47.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
169.3
181.7
164.5
480.1
409.7
358.7
....
....
....
....
....
....
....
....
....
.3
.3
.3
.3
.3
....
169.3
181.4
164.0
479.7
409.4
358.5
....
....
....
.2
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
126
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bosnia and Herzegovina

963

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: convertible marka per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

....
....
....
....
....
....
....
....
....
....

....
5,816.0
....
29.3
5,786.8
.6
2,146.9
2,614.5
1,024.8
....

....
6,860.4
73.2
30.8
6,756.4
....
2,743.9
2,572.0
1,440.5
....

....
....

2007

2008

2009

2010

2011

....
....
....
....
....
9,412.1 10,586.0 11,472.4 10,636.7 10,333.1
92.7
98.8
105.3
97.4
87.3
32.4
31.5
252.2
247.8
247.0
9,287.0 10,455.7 11,114.9 10,291.6 9,998.8
....
....
....
....
....
3,888.1
4,420.0
4,157.2
3,199.4
2,697.0
2,800.2
2,853.3
3,375.5
3,883.9
4,047.7
2,598.7
3,182.4
3,582.1
3,208.3
3,254.1
....
....
....
....
....

3,524.4 3,874.9 5,778.3 8,223.1 9,987.1 9,735.0 10,067.8


1.6579

1.4851

1.3286

1.4054

1.3576

1.4637

1.5116

_______________________________________________________________________________________________________________________________
127
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Botswana

616
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
1,562.3 1,945.7 2,015.4
867.8
521.3
45.9

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

2005

4,443.9
2,686.4

2006

4,521.1
2,616.5

2007

2008

2009

5,163.0
3,458.1

4,799.8
4,362.9

3,434.9
3,997.9

4,632.7
4,837.3

....
....
....

872.1
785.0

496.1
957.6

395.0
881.0

....
....
....

1,757.5

1,904.6

1,704.9

834.5
866.3

779.0
836.7

801.0
983.5

436.9

563.0

204.7

1,725.8

1,846.9

1,522.4

524.0

1,024.5

690.6

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

462.0
1,297.9

889.8

528.7
1,301.3

1,074.3

438.1
1,176.3

474.7
1,171.3

172.7

352.4
455.0

1,127.1

413.0
655.6

933.2

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

886.0
213.6

1,073.4
202.0

1,494.2
263.1

1,399.3
358.9

1,153.5
547.6

1,396.2
417.2

....
....

B. Capital Account........................................... 20999F B AA

....

67.4

5.7

88.9

76.3

89.2

19.0

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

89.1
21.7

1,629.7

26.5
20.7

1,951.5

110.0
21.1

2,104.3

98.8
22.5

944.0

114.8
25.6

432.0

41.1
22.1

64.9

....
....
....

C. Financial Account......................................... 30999F N AA

....

395.7

812.9

954.0

83.0

20.5

634.6

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

55.9
52.2
3.7

49.9
29.0
21.0

51.0
29.7
21.3

91.1
102.4
11.3

65.2
74.3
9.1

.3
.3
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

492.4
424.6
67.8

750.8
755.3
4.5

647.3
651.9
4.6

902.4
895.2
7.2

824.1
824.1
....

265.0
265.0
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

174.4
289.4
115.0

593.0
593.0
....

226.0
326.5
100.5

322.9
319.2
3.7

347.8
456.5
108.7

396.8
405.0
8.1

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

18.2
27.2
45.4

36.2
36.0
.2

13.7
9.4
4.3

29.5
36.7
7.2

17.7
17.2
.6

17.8
18.0
.2

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

781.6
....
781.6

1,053.1
....
1,053.1

1,276.7
....
1,276.7

1,194.6
....
1,194.6

1,142.6
....
1,142.6

1,217.8
....
1,217.8

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

142.0
....
142.0

96.1
....
96.1

61.3
....
61.3

9.3
....
9.3

38.6
....
38.6

96.2
....
96.2

D. Net Errors and Omissions............................. 40999S N AA

....

72.6

398.6

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,306.5

1,537.2

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,363.5
....
57.0

1,748.4
....
211.2

Conversion rates: pula per U.S. dollar.............. RFZ F B

....

5.1104

5.8366

1,233.9

1,138.6

784.3

1,027.0

411.5

569.8

....
....
....
....

570.2

144.0

699.9

609.5

....

1,720.6

1,171.0

288.5

39.8

....

1,739.0
....
18.5

1,077.6
....
93.5

624.3
....
912.8

957.6
....
997.3

....
....
....

6.1388

6.8269

7.1551

6.7936

6.8382

1,150.3

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
128
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Botswana

616
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
1,562.3 1,945.7 2,015.4
867.8
521.3
45.9
GOODS AND SERVICES..................................... 1Z9999 B XN
....
1,725.8 1,846.9 1,522.4
524.0 1,024.5
690.6
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

228.1
72.5
155.6
230.0
62.3
167.7
191.4
7.0
28.1
4.2
.5
11.5
130.2
....
9.8
275.6
9.1
44.7
1.9
11.6
22.7
184.9
....
.7

1.0
440.1
21.1

218.4
22.0
196.3
25.4
31.1
56.5
122.5
4.2
4.2
1.0
.1
5.6
97.7
....
9.7
389.1
33.7
26.2
13.5
11.4
32.0
263.2
....
9.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

102.6
352.4
455.0
14.0
41.9
338.4
44.9
44.9
44.7
.2
....

242.6
413.0
655.6
19.5
36.3
393.5
11.3
11.3
10.9
.3
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,278.4
3,552.6
1,757.5
4,443.9
4,443.5
.4
....
2,686.4
2,686.4
....
31.7
834.5
866.3
....
....
1.1
2.5
98.1

5,300.1
3,453.2
1,904.6
4,521.1
4,521.2
.1
....
2,616.5
2,616.5
....
57.7
779.0
836.7
....
....
.3
2.0
90.9

5,964.0
4,441.6
1,704.9
5,163.0
5,163.0
....
....
3,458.1
3,458.1
....
182.5
801.0
983.5
....
....
....
2.7
96.9

5,671.9
5,147.9
436.9
4,799.8
4,799.8
....
....
4,362.9
4,362.9
....
87.1
872.1
785.0
....
....
.3
2.0
99.4

3,930.9
4,955.4
563.0
3,434.9
3,434.9
....
....
3,997.9
3,997.9
....
461.5
496.1
957.6
....
....
.1
5.4
76.5

5,027.7
5,718.3
204.7
4,632.7
4,632.7
....
....
4,837.3
4,837.3
....
485.9
395.0
881.0
....
....
.6
4.4
53.6

362.2

330.7

379.3

240.8

446.6

462.1

561.9
196.7
365.2
282.5
67.8
214.7
173.4
8.1
53.9
5.2
.5
9.9
83.6
....
12.4
219.1
10.4
34.5
3.0
12.3
23.7
117.9
....
17.2

537.2
188.0
349.2
276.5
66.4
210.2
150.6
8.1
19.6
2.4
.3
7.8
104.6
....
7.6
227.5
16.9
27.6
1.9
7.3
10.1
162.6
....
1.0

497.7
148.3
349.4
281.1
70.5
210.5
206.4
7.5
26.1
4.5
.2
15.2
139.9
....
12.8
320.4
9.6
39.9
2.2
11.4
26.0
230.9
....
.5

552.7
192.8
359.9
237.7
68.1
169.7
219.7
11.3
29.2
4.2
.5
11.3
154.1
....
9.0
304.5
11.7
45.8
2.0
12.7
23.1
208.2
....
1.0

....
....
....
....
....
....
....
....
....
....
....

836.0
462.0
1,297.9
35.5
91.0
426.4
194.4
194.4
194.3
....
....

772.6
528.7
1,301.3
25.2
87.1
503.5
150.0
150.0
149.9
.2
....

738.1
438.1
1,176.3
12.2
88.5
426.0
39.3
39.3
38.9
.4
....

696.6
474.7
1,171.3
20.3
81.9
454.4
48.0
48.0
47.7
.3
....

.8
33.1
64.1

19.4
320.7
22.0

2.2
27.5
61.1

7.6
314.4
8.7

2.8
47.5
46.5

2.8
348.3
28.1

2.2
21.1
76.1

1.5
219.9
19.4

2011

2.3
21.1
53.1

.9
426.3
19.4

4.1
32.9
16.6

_______________________________________________________________________________________________________________________________
129
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Botswana

616
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

232.1
211.1
....
....
20.9
....
....
....
....
....
....
....
1,206.9
1,065.7
1,065.3
851.5
213.8
.4
89.6
....
....
....
89.6
51.6
....
51.6
....
....
....

353.5
285.1
....
....
68.4
....
....
....
....
....
....
....
1,214.2
1,042.5
1,042.5
778.2
264.4
....
58.0
....
....
....
58.0
113.6
....
113.6
....
....
....

386.7
381.3
....
....
5.3
....
....
....
....
....
....
....
1,087.8
988.8
988.7
836.0
152.7
.1
37.6
....
....
....
37.6
61.4
....
61.4
....
....
....

406.4
406.4
....
....
....
....
....
....
....
....
....
....
1,089.4
1,056.9
1,056.9
682.6
374.3
....
32.4
....
....
....
32.4
....
....
....
....
....
....

293.5
293.5
....
....
....
....
....
....
....
....
....
....
413.1
377.4
377.4
125.8
251.6
....
35.8
....
....
....
35.8
....
....
....
....
....
....

382.2
382.2
....
....
....
....
....
....
....
....
....
....
619.3
597.7
597.7
332.8
265.0
....
21.6
....
....
....
21.6
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

672.5
886.0
798.9
87.2
82.4
4.8
213.6
197.1
16.5
16.5
....

871.4
1,073.4
955.9
117.5
78.7
38.8
202.0
192.0
10.0
10.0
....

1,231.1
1,494.2
1,398.1
96.1
80.0
16.1
263.1
253.0
10.2
10.2
....

1,040.4
1,399.3
1,302.0
97.3
81.0
16.3
358.9
318.2
40.6
40.6
....

605.9
1,153.5
1,079.8
73.7
61.6
12.2
547.6
508.9
38.8
38.8
....

979.1
1,396.2
1,334.2
62.1
12.1
49.9
417.2
379.1
38.0
38.0
....

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

67.4
....
....
89.1
75.9
....
75.9
13.1
21.7
....
....
....
21.7

5.7
....
....
26.5
13.9
....
13.9
12.6
20.7
....
....
....
20.7

88.9
....
....
110.0
97.2
....
97.2
12.8
21.1
....
....
....
21.1

76.3
....
....
98.8
85.9
....
85.9
12.9
22.5
....
....
....
22.5

89.2
....
....
114.8
80.4
....
80.4
34.4
25.6
....
....
....
25.6

19.0
....
....
41.1
10.1
....
10.1
30.9
22.1
....
....
....
22.1

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1,702.3

2,350.1

2,674.6

1,088.1

267.9

674.4

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

436.5
55.9
52.2
52.2
52.2
....
....
....
3.7
3.7
....
....

700.9
49.9
29.0
28.8
28.8
....
....
.2
21.0
21.0
....
....

596.2
51.0
29.7
29.3
29.3
....
....
.4
21.3
21.3
....
....

993.5
91.1
102.4
102.7
102.7
....
....
.3
11.3
11.3
....
....

758.9
65.2
74.3
74.1
74.1
....
....
.2
9.1
9.1
....
....

264.7
.3
.3
....
....
....
....
.3
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
130
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Botswana

616
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

492.4
424.6
210.8
210.8
....
....
213.8
67.8
67.8
....
....

750.8
755.3
490.9
490.9
....
....
264.4
4.5
4.5
....
....

647.3
651.9
499.2
499.2
....
....
152.7
4.6
4.6
....
....

902.4
895.2
520.9
520.9
....
....
374.3
7.2
7.2
....
....

824.1
824.1
572.5
572.5
....
....
251.6
....
....
....
....

265.0
265.0
....
....
....
....
265.0
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

192.6
174.4
289.4
....
....
....
289.4
....
115.0
....
....
....
115.0
....
18.2
27.2
....
....
....
27.2
....
45.4
....
....
45.4
....
....

556.7
593.0
593.0
....
....
....
593.0
....
....
....
....
....
....
....
36.2
36.0
....
....
....
36.0
....
.2
....
....
.2
....
....

212.2
226.0
326.5
....
....
....
326.5
....
100.5
....
....
....
100.5
....
13.7
9.4
....
....
....
9.4
....
4.3
....
....
4.3
....
....

293.4
322.9
319.2
....
....
....
319.2
....
3.7
....
....
....
3.7
....
29.5
36.7
....
....
....
36.7
....
7.2
....
....
7.2
....
....

365.6
347.8
456.5
....
....
....
456.5
....
108.7
....
....
....
108.7
....
17.7
17.2
....
....
....
17.2
....
.6
....
....
.6
....
....

414.6
396.8
405.0
....
....
....
405.0
....
8.1
....
....
....
8.1
....
17.8
18.0
....
....
....
18.0
....
.2
....
....
.2
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

582.6
781.6
....
781.6
....
36.7
513.9
231.1
....
199.0
....
....
199.0
....
143.7
20.4
75.7
....

745.8
1,053.1
....
1,053.1
....
148.7
645.4
259.0
....
307.3
....
....
307.3
....
10.6
81.8
378.5
....

1,319.5
1,276.7
....
1,276.7
....
144.3
929.3
203.1
....
42.8
....
....
42.8
....
31.1
39.0
27.3
....

1,297.3
1,194.6
....
1,194.6
....
268.0
897.3
29.3
....
102.7
....
....
102.7
....
9.2
48.6
63.4
....

2,016.7 2,311.3
1,142.6 1,217.8
....
....
1,142.6 1,217.8
....
....
160.4
221.9
901.9
905.1
80.2
90.8
....
....
874.2 1,093.5
....
....
82.9
....
957.1 1,093.5
....
....
57.1
90.8
900.0 1,002.7
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,363.5
....
1.7
19.0
1,380.9

1,748.4
....
2.0
1.7
1,748.2

1,739.0
....
2.3
2.7
1,739.4

1,077.6
....
1.8
6.0
1,069.8

624.3
....
83.3
4.4
712.0

957.6
....
.2
3.5
961.2

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

72.6

398.6

570.2

144.0

699.9

609.5

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
131
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Botswana

616
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
9,957.1 12,618.6 14,897.5 12,873.4 12,707.8 12,386.1
Direct investment............................................. 8A9999 A AA
....
796.0
757.9 1,322.6
545.3
399.3
448.4
Equity and investment fund shares................. 8AA000 A AA
....
776.7
732.2 1,046.3
544.3
399.3
448.4
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

776.7
....
....
19.3
19.3
....
....
2,607.3
1,819.4
....
....
....
1,819.4
....
787.8
....
....
....
787.8
....
....
472.2
....
472.2
....
312.7
....
159.6
....
6,081.6
....
50.8
10.6
6,020.2

732.2
....
....
25.7
25.7
....
....
3,119.1
2,368.5
....
....
....
2,368.5
....
750.6
....
....
....
750.6
....
....
800.6
....
800.6
....
532.7
....
267.9
....
7,941.0
....
55.5
9.4
7,876.1

1,046.3
....
....
276.3
276.3
....
....
3,480.0
2,798.2
....
....
....
2,798.2
....
681.8
....
....
....
681.8
....
....
344.6
....
344.6
....
262.2
....
82.4
....
9,750.2
....
60.7
7.0
9,682.5

544.3
....
....
1.0
1.0
....
....
2,412.4
1,864.5
....
....
....
1,864.5
....
548.0
....
....
....
548.0
....
....
787.0
....
787.0
....
739.1
....
47.9
....
9,128.6
....
60.9
13.1
9,054.6

399.3
....
....
....
....
....
....
2,928.1
2,427.3
....
....
....
2,427.3
....
500.9
....
....
....
500.9
....
....
701.6
....
701.6
....
615.5
....
86.2
....
8,678.8
....
145.6
17.8
8,515.4

448.4
....
....
....
....
....
....
3,311.2
2,783.7
....
....
....
2,783.7
....
527.5
....
....
....
527.5
....
....
722.5
....
722.5
....
637.6
....
84.9
....
7,904.1
....
143.2
20.9
7,740.0

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
133.6
41.9
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,504.4
806.2
691.0
691.0
....
....
115.2
115.2
....
....
70.7
54.6
....
....
....
54.6
....
16.0
....
....
16.0
....
....

2,618.5
805.1
732.2
732.2
....
....
72.9
72.9
....
....
23.4
8.5
....
....
....
8.5
....
14.8
....
....
14.6
.2
....

3,290.7
1,046.2
1,008.4
1,008.4
....
....
37.8
37.8
....
....
104.0
89.1
....
....
....
89.1
....
14.8
....
....
14.8
....
....

1,840.5
884.6
869.6
869.6
....
....
15.0
15.0
....
....
43.5
38.1
....
....
....
38.1
....
5.5
....
....
5.5
....
....

3,790.3
1,405.3
951.9
951.9
....
....
453.3
453.3
....
....
68.6
61.9
....
....
....
61.9
....
6.7
....
....
6.7
....
....

2,297.7
....
....
....
....
....
....
....
....
....
70.2
63.4
....
....
....
63.4
....
6.8
....
....
6.8
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
132
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Botswana

616
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: pula per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
1,627.6
....
6.2
1,621.3
....
213.1
406.7
1,001.5
....

....
1,790.1
....
6.6
1,783.5
....
197.0
363.7
1,222.8
....

....
2,140.5
....
6.9
2,133.6
....
36.9
323.3
1,773.4
....

....
912.4
....
6.7
905.7
....
37.7
238.7
629.2
....

....
2,316.5
....
90.0
2,226.4
....
54.6
1,316.0
855.8
....

....
2,227.5
....
88.4
2,139.1
....
....
1,443.0
696.1
....

....
....
....
....
....
....
....
....
....
....

....

7,452.7 10,000.1 11,606.8 11,032.9

8,917.5 10,088.4

....

....

5.5127

6.6730

6.0314

6.0060

7.5191

6.4412

7.5260

_______________________________________________________________________________________________________________________________
133
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brazil

223
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
13,984
13,620
1,551 28,192 24,302 47,323

52,480

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

118,029
73,140

137,808
91,350

160,649
120,617

197,942
173,107

152,995
127,705

201,915
181,768

256,040
226,233

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

14,976
23,471

18,495
28,149

23,954
37,173

30,451
47,140

27,728
46,974

6,044

31,821
62,592

10,624

38,209
76,161

8,145

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

10,427

12,511
53,073

8,826
42,510

7,405
46,892

10,753
58,072

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

44,890

2006

46,459

2007

40,032

2008

24,836

25,290

20,147

29,807

36,394

36,804

26,813

3,194
29,162

6,438
33,927

9,315

11,493
40,784

2,478

32,416

27,640

50,111

55,464

....
....

4,050
493

4,846
541

4,972
943

5,317
1,093

4,736
1,398

4,661
1,873

4,915
1,931

B. Capital Account........................................... 20999F B AA

....

663

869

756

1,055

1,129

1,119

1,573

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

906
243

14,647

1,084
215

14,489

1,089
333

2,307

1,506
451

27,137

1,429
300

23,174

1,453
335

46,204

2,067
494

C. Financial Account......................................... 30999F N AA

....

13,144

15,113

88,330

28,297

70,160

98,597 110,816

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

2,910
2,695
216

28,798
23,413
5,385

17,061
10,091
6,970

26,115
13,859
12,256

4,552
4,545
9,097

16,426
26,782
10,357

3,850
19,533
15,684

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

15,460
15,045
415

19,378
15,373
4,005

44,579
26,074
18,505

50,716
30,064
20,652

31,481
19,906
11,575

53,345
40,117
13,228

71,539
54,782
16,756

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,771
831
940

523
915
1,438

286
1,413
1,699

1,900
257
1,643

4,125
2,582
1,542

4,784
6,211
10,995

16,858
8,801
8,057

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

6,655
6,451
204

9,051
7,716
1,335

48,104
26,217
21,887

767
7,565
6,798

46,159
37,071
9,087

67,795
37,684
30,111

18,453
7,174
11,278

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

40
508
548

383
482
99

710
88
799

312
298
610

156
322
166

112
133
245

3
252
249

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

5,035
....
5,035

8,914
....
8,914

18,552
....
18,552

5,269
....
5,269

30,376
....
30,376

42,636
....
42,636

38,984
....
38,984

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

785
....
785

23,491
....
23,491

31,683
....
31,683

8,143
....
8,143

14,064
....
14,064

41,415
....
41,415

46,796
....
46,796

D. Net Errors and Omissions............................. 40999S N AA

....

225

E. Reserves and Related Items.......................... 4Z999S N AA

....

27,566

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

4,324
23,243
....

Conversion rates: reais per U.S. dollar............. RFZ F B

....

2.43439

27,791

29,602

8,146

2009

46,986

52,393

50,907

90,636

1,160

59,909

967

3,152

1,810

591

3,313

1,274

30,569

87,484

2,969

47,578

49,080

58,635

30,571
....
2

87,484
....
....

2,969
....
....

47,578
....
....

49,080
....
....

58,635
....
....

2.17533

1.94706

1.83377

1.99943

1.75923

1.67283

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
134
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brazil

223
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
13,985
13,621
1,551 28,192 24,302 47,323
GOODS AND SERVICES..................................... 1Z9999 B XN
....
36,394
36,804
26,813
8,146
6,044 10,624
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

133,005
96,611
44,890
118,029
117,850
279
459
73,140
73,140
....
8,495
14,976
23,471
466
....
....
....
3,146

156,303
119,499
46,459
137,808
137,149
1
659
91,350
91,349
....
9,654
18,495
28,149
....
....
....
....
3,455

184,603
157,790
40,032
160,649
159,858
....
791
120,617
120,617
....
13,219
23,954
37,173
....
....
....
....
4,136

228,393
220,247
24,836
197,942
196,910
....
1,033
173,107
173,106
1
16,690
30,451
47,140
....
....
....
....
5,425

180,723
174,679
25,290
152,995
151,594
....
1,401
127,705
127,705
....
19,245
27,728
46,974
....
....
....
....
4,065

233,736
244,360
20,147
201,915
201,915
....
....
181,768
181,768
....
30,771
31,821
62,592
....
....
....
....
4,965

52,480
8,145
294,249
302,394
29,807
256,040
256,040
....
....
226,233
226,233
....
37,952
38,209
76,161
....
....
....
....
5,852

5,093

6,569

8,507

10,408

7,968

11,340

14,155

3,861
68
3,794
4,720
291
4,429
8,434
8
134
507
102
319
6,116
56
1,192
13,659
....
702
737
1,404
1,822
6,595
451
1,947

4,316
63
4,253
5,764
319
5,444
10,725
23
324
738
150
291
7,600
81
1,517
15,816
4
755
861
1,664
2,102
7,931
533
1,967

4,953
70
4,883
8,211
370
7,841
14,865
17
543
1,090
319
419
11,064
73
1,340
20,455
4
1,308
807
2,259
2,365
10,586
651
2,473

5,785
84
5,701
10,962
508
10,454
19,240
23
828
1,238
465
641
14,331
86
1,628
25,770
9
1,665
1,145
2,697
3,083
13,556
869
2,744

5,305
70
5,235
10,898
375
10,524
18,359
14
373
1,570
434
538
13,867
80
1,483
28,108
4
1,815
1,612
2,512
2,960
15,348
958
2,899

5,919
89
5,830
16,422
513
15,909
20,937
29
416
2,073
397
611
15,776
108
1,527
34,830
6
1,529
1,679
2,850
3,775
20,873
1,271
2,846

6,555
76
6,479
21,264
502
20,762
25,802
19
505
2,662
591
523
19,675
54
1,774
40,742
9
1,717
1,804
3,301
4,238
25,367
1,121
3,185

....
....
....
....
....
....
....
....
....
....
....

25,967
3,194
29,162
325
111
2,869
733
641
641
....
92

27,489
6,438
33,927
397
220
6,041
1,073
928
928
....
145

29,291
11,493
40,784
497
49
10,996
2,202
1,152
1,152
....
1,050

40,562
12,511
53,073
730
185
11,781
1,997
1,526
1,526
....
472

33,684
8,826
42,510
665
62
8,160
1,287
1,186
1,186
....
100

39,486
7,405
46,892
565
66
6,841
1,080
888
888
....
193

47,319
10,753
58,072
665
98
10,088
2,085
1,804
1,804
....
282

307
1,032
1,807
1,185
1,897
2,010

261
1,160
2,033
1,737
2,296
2,536

331
1,516
2,290
2,223
3,068
3,216

324
1,744
3,357
2,307
4,343
3,758

330
1,494
2,240
1,999
3,234
2,735

261
1,983
2,721
2,918
4,608
3,814

275
2,245
3,332
3,806
5,631
4,718

_______________________________________________________________________________________________________________________________
135
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brazil

223
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

785
10
....
....
775
1,351
....
1,351
....
....
....
....
29,050
11,035
9,783
9,783
....
1,253
12,563
3,554
....
....
9,009
5,452
....
5,452
....
....
....

3,049
21
....
....
3,028
1,919
....
1,919
....
....
....
....
33,707
13,884
12,359
12,359
....
1,525
14,101
4,945
....
....
9,156
5,723
....
5,723
....
....
....

6,955
13
....
....
6,942
1,839
....
1,839
....
....
....
....
40,735
19,692
17,898
17,898
....
1,794
14,020
5,702
....
....
8,318
7,024
....
7,024
....
....
....

8,695
15
....
....
8,680
1,088
....
1,088
....
....
....
....
52,888
28,773
26,874
26,874
....
1,898
16,734
8,542
....
....
8,192
7,381
....
7,381
....
....
....

5,827
44
....
....
5,783
1,046
....
1,046
....
....
....
....
42,448
21,029
18,951
18,951
....
2,077
15,041
7,497
....
....
7,543
6,378
....
6,378
....
....
....

4,928
1
....
....
4,927
833
....
833
....
....
....
....
46,826
26,584
24,479
24,479
....
2,106
14,892
6,785
....
....
8,107
5,350
....
5,350
....
....
....

7,046
1
....
....
7,046
956
....
956
....
....
....
....
57,974
31,716
29,183
29,183
....
2,533
19,210
10,788
....
....
8,423
7,047
....
7,047
....
....
....

....
....
....
....
....
....
....
....
....
....
....

3,558
4,051
81
3,969
2,480
1,490
493
140
353
263
91

4,306
4,847
86
4,761
2,890
1,871
541
122
419
309
110

4,029
4,972
139
4,833
2,809
2,024
943
129
813
514
299

4,224
5,317
146
5,170
2,913
2,258
1,093
109
983
628
355

3,338
4,736
61
4,675
2,224
2,451
1,398
270
1,128
669
459

2,788
4,661
132
4,529
2,076
2,454
1,873
317
1,557
855
701

2,984
4,915
92
4,824
2,134
2,690
1,931
397
1,535
811
723

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

663
1
....
905
....
....
....
905
243
....
....
....
243

869
1
1
1,083
....
....
....
1,082
213
....
....
....
213

756
12
....
1,077
....
....
....
1,077
333
....
....
....
333

1,055
22
....
1,483
....
....
....
1,483
451
....
....
....
451

1,129
2
....
1,427
....
....
....
1,427
300
....
....
....
300

1,119
50
29
1,403
....
....
....
1,403
306
....
....
....
306

1,573
15
21
2,053
....
....
....
2,053
473
....
....
....
473

FINANCIAL ACCOUNT........................................ 30999S N AA

....

14,423

15,458

845

25,327

22,583

49,517

52,181

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

12,550
2,910
2,695
2,695
2,695
....
....
....
216
103
319
....

9,420
28,798
23,413
23,413
23,413
....
....
....
5,385
4,773
612
....

27,518
17,061
10,091
10,091
10,091
....
....
....
6,970
5,823
1,147
....

24,601
26,115
13,859
13,859
13,859
....
....
....
12,256
12,349
93
....

36,033
4,552
4,545
4,545
4,545
....
....
....
9,097
10,119
1,022
....

36,919
16,426
26,782
26,782
26,782
....
....
....
10,357
10,401
45
....

67,689
3,850
19,533
19,533
19,533
....
....
....
15,684
14,456
1,228
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
136
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brazil

223
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

15,460
15,045
15,045
15,045
....
....
....
415
340
75
....

19,378
15,373
15,373
15,373
....
....
....
4,005
4,021
16
....

44,579
26,074
26,074
26,074
....
....
....
18,505
9,657
8,848
....

50,716
30,064
30,064
30,064
....
....
....
20,652
14,901
5,751
....

31,481
19,906
19,906
19,906
....
....
....
11,575
7,064
4,510
....

53,345
40,117
40,117
40,117
....
....
....
13,228
8,435
4,793
....

71,539
54,782
54,782
54,782
....
....
....
16,756
10,650
6,107
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,885
1,771
831
....
383
....
448
....
940
....
891
....
49
....
6,655
6,451
....
1,380
....
5,071
....
204
113
476
3,208
3,592
....

9,573
523
915
....
811
....
104
....
1,438
....
235
846
827
....
9,051
7,716
....
2,085
....
5,631
....
1,335
71
3,935
2,572
100
....

48,390
286
1,413
....
1,409
....
5
....
1,699
140
908
....
652
....
48,104
26,217
....
3,459
....
22,759
....
21,887
....
8,307
12,812
769
....

1,133
1,900
257
....
15
....
272
....
1,643
45
537
....
1,061
....
767
7,565
....
881
....
6,684
....
6,798
....
4,889
12,274
586
....

50,283
4,125
2,582
....
475
....
2,107
....
1,542
1,099
1,070
....
627
....
46,159
37,071
....
8,720
....
28,351
....
9,087
....
3,430
10,119
2,398
....

63,011
4,784
6,211
....
340
....
5,871
....
10,995
....
2,751
....
8,244
....
67,795
37,684
....
4,169
....
33,515
....
30,111
....
15,461
11,026
3,624
....

35,311
16,858
8,801
....
397
....
8,405
....
8,057
....
2,277
....
5,780
....
18,453
7,174
....
638
....
6,536
....
11,278
....
10,161
3,124
4,241
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

40
508
548

383
482
99

710
88
799

312
298
610

156
322
166

112
133
245

3
252
249

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

27,493
5,035
....
5,035
....
2,211
229
2,595
....
22,458
....
....
22,458
23,407
841
1,637
1,745
....

14,577
8,914
....
8,914
2
3,323
17
5,610
....
23,491
....
....
23,491
250
3,426
384
20,699
....

13,131
18,552
....
18,552
....
11,316
328
6,907
....
31,683
....
....
31,683
209
17,897
618
14,612
....

2,875
5,269
....
5,269
13,023
15,257
407
7,096
....
8,143
....
....
8,143
91
7,834
403
15,666
....

16,312
30,376
....
30,376
12,488
15,500
1,023
28,387
....
14,064
....
3,950
10,114
70
1,131
772
12,088
....

1,221
42,636
....
42,636
535
1,783
82
44,871
....
41,415
....
....
41,415
91
24,166
3,461
13,878
....

7,813
38,984
....
38,984
....
734
233
39,951
....
46,796
....
....
46,796
6,321
25,202
4,486
32,402
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

4,324
51
30
....
4,345

30,571
76
21
....
30,668

87,484
129
6
....
87,620

2,969
535
1
....
2,435

47,578
....
4,503
946
42,128

49,080
....
3
1,088
47,989

58,635
....
471
984
58,121

NET ERRORS AND OMISSIONS.........................

....

225

967

3,152

1,810

591

3,313

1,274

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
137
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brazil

223
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 168,182 238,874 379,789 408,203 479,105 617,552
Direct investment............................................. 8A9999 A AA
....
79,259 113,925 139,886 155,668 164,523 188,637
Equity and investment fund shares................. 8AA000 A AA
....
65,418
97,465 111,339 113,755 132,413 169,066
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

132,413
....
....
32,110
32,110
....
....
16,519
8,641
....
1,200
....
7,442
....
7,877
....
6,441
....
1,436
....
426
59,098
....
59,098
1,416
20,147
2,269
35,266
....
238,539
1,175
4,527
950
231,888

169,066
....
....
19,572
19,572
....
....
38,203
14,731
....
1,331
....
13,399
....
23,472
....
8,857
....
14,616
....
797
101,340
....
101,340
1,496
23,288
2,061
74,496
....
288,575
1,519
4,450
2,037
280,570

2011
722,774
202,586
192,933
192,933
....
....
9,654
9,654
....
....
28,485
16,903
....
2,050
....
14,853
....
11,581
....
5,967
....
5,615
....
668
139,025
....
139,025
1,486
24,164
2,028
111,347
....
352,010
1,654
3,979
2,993
343,384

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

65,418
....
....
13,842
13,842
....
....
10,834
2,809
....
84
....
2,725
....
8,026
1,249
1,845
....
4,932
....
119
24,171
....
24,171
1,363
12,338
32
10,438
....
53,799
554
29
....
53,216

97,465
....
....
16,460
16,460
....
....
14,429
3,754
....
157
....
3,596
....
10,675
....
6,355
....
4,320
....
113
24,567
....
24,567
1,072
10,698
....
12,798
....
85,839
683
8
....
85,148

111,339
....
....
28,547
28,547
....
....
19,515
6,644
....
72
....
6,572
....
12,871
1,054
7,100
....
4,717
....
142
39,912
....
39,912
1,145
20,717
2,728
15,322
....
180,334
901
2
....
179,431

113,755
....
....
41,914
41,914
....
....
14,910
4,828
....
167
....
4,661
....
10,082
1,038
5,879
....
3,165
....
609
43,232
....
43,232
1,383
19,744
2,491
19,614
....
193,783
940
1
....
192,842

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

482,041
181,344
162,807
162,807
....
....
18,537
18,537
....
....
232,167
125,532
....
....
....
125,532
....
106,635
....
12,864
61,587
32,183
....

603,954
220,621
193,838
193,838
....
....
26,783
26,783
....
....
304,242
191,513
....
....
....
191,513
....
112,728
....
16,956
50,741
45,032
....

915,928
309,668
262,392
262,392
....
....
47,276
47,276
....
....
508,377
363,999
....
....
....
363,999
....
144,379
....
27,003
46,070
71,306
....

688,040 1,074,762 1,495,897 1,452,552


287,697 400,808 674,764 669,670
223,127 321,436 579,627 563,757
223,127 321,436 579,627 563,757
....
....
....
....
....
....
....
....
64,570
79,372
95,137 105,913
64,570
79,372
95,137 105,913
....
....
....
....
....
....
....
....
287,499 561,778 663,285 591,529
149,608 376,463 437,758 352,194
....
....
....
....
....
....
....
....
....
....
....
....
149,608 376,463 437,758 352,194
....
....
....
....
137,891 185,315 225,528 239,335
....
....
....
....
23,080
20,600
37,261
47,889
41,562
43,773
41,042
37,776
73,249 120,942 147,224 153,671
....
....
....
....

_______________________________________________________________________________________________________________________________
138
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brazil

223
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: reais per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

219
68,310
....
513
67,798
412
26,226
20,047
21,112
....

445
78,646
....
540
78,107
240
27,567
20,016
30,283
....

1,771
96,111
....
567
95,545
88
48,006
19,973
27,478
....

2,450
110,394
....
552
109,842
113
51,157
20,993
37,578
....

3,413
108,764
....
4,526
104,238
73
43,024
20,599
40,543
....

3,781
154,067
....
4,446
149,621
58
65,881
24,085
59,596
....

4,678
186,675
....
4,432
182,243
44
90,361
20,062
71,776
....

. . . . 313,858 365,080 536,139 279,836 595,657 878,344 729,778


....

2.33990

2.13720

1.77050

2.33620

1.74040

1.68580

1.85880

_______________________________________________________________________________________________________________________________
139
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brunei Darussalam

516
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
4,033
5,229
4,828
6,939
3,977
....

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

4,408

5,635

5,259

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

....
376

....
405

B. Capital Account........................................... 20999F B AA

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
8

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

6,241
1,412

7,627
1,588

2008

7,692
1,992

10,698
2,858

4,829

6,039

5,700

616
1,110

745
1,214

813
1,317

2009

7,840

7,172
2,282

4,889

....
....
....

....
....
....

867
1,403

915
1,434

....
....
....

....
....
....

4,335

5,570

5,196

7,305

4,370

263
190

248
183

268
206

304
249

7,359

316
264

4,422

....
....
....

....
....
....

....
430

....
420

....
445

....
....

....
....

11

....

....

....
7

....
7

....
8

....
11

....
....
....

4,024

5,222

4,821

6,931

3,966

....
....
....

....

82

603

1,167

1,346

1,607

....

....

....
....
....

....
....
....

17
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

175
153
22

88
85
3

258
240
18

222
....
222

326
....
326

....
....
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

22
13
9

90
90
....

358
358
....

88
88
....

139
139
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

493
....
493

356
....
356

1,009
....
1,009

749
....
749

644
....
644

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

214
....
214

3,942

267
....
267

5,825

458
....
458

5,988

287
....
287

8,277

498
....
498

5,574

....
....
....
....

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

4,006

5,796

5,846

8,233

5,420

....

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

63

29

142

45

154

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

63
....
....

29
....
....

142
....
....

45
....
....

154
....
....

....
....
....

....
....
....

Conversion rates: Brunei Dollars per U.S.


dollar............................................................. RFZ F B

....

1.6644

1.5889

1.5071

1.4172

1.4546

1.3635

1.2579

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
140
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brunei Darussalam

516
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
4,033
5,229
4,828
6,939
3,977
....
GOODS AND SERVICES..................................... 1Z9999 B XN
....
4,335
5,570
5,196
7,305
4,370
....
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

6,857
2,522
4,829
6,241
6,241
....
....
1,412
1,412
....
494
616
1,110
....
....
....
....
313
....
....
....
321
....
....
....
191
....
....
374
....
....
112
....
7
....
....
10
95
....
....
415
....
10
3
4
5
223
....
170

8,371
2,802
6,039
7,627
7,627
....
....
1,588
1,588
....
469
745
1,214
....
....
....
....
381
....
....
....
369
....
....
....
224
....
....
408
....
....
140
....
10
....
....
13
116
....
....
436
....
11
5
6
8
228
....
179

8,505
3,309
5,700
7,692
7,692
....
....
1,992
1,992
....
503
813
1,317
....
....
....
....
406
....
....
....
398
....
....
....
233
....
....
430
....
....
174
....
13
....
....
18
142
....
....
489
....
14
6
7
13
247
....
202

11,565
4,260
7,840
10,698
10,698
....
....
2,858
2,858
....
535
867
1,403
....
....
....
....
429
....
....
....
421
....
....
....
242
....
....
459
....
....
196
....
13
....
....
21
162
....
....
522
....
14
7
7
15
258
....
221

8,087
3,717
4,889
7,172
7,172
....
....
2,282
2,282
....
519
915
1,434
....
....
....
....
452
....
....
....
445
....
....
....
254
....
....
477
....
....
209
....
13
....
....
22
174
....
....
512
....
14
7
8
16
249
....
219

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

73
263
190
....
....
263
....
....
....
....
....

65
248
183
....
....
248
....
....
....
....
....

62
268
206
....
....
268
....
....
....
....
....

54
304
249
....
....
304
....
....
....
....
....

52
316
264
....
....
316
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
141
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brunei Darussalam

516
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
263
....
263
....
....
....
....
190
....
....
....
....
....
....
....
....
....
....
190
....
190
....
....
....

....
....
....
....
....
248
....
248
....
....
....
....
183
....
....
....
....
....
....
....
....
....
....
183
....
183
....
....
....

....
....
....
....
....
268
....
268
....
....
....
....
206
....
....
....
....
....
....
....
....
....
....
206
....
206
....
....
....

....
....
....
....
....
304
....
304
....
....
....
....
249
....
....
....
....
....
....
....
....
....
....
249
....
249
....
....
....

....
....
....
....
....
316
....
316
....
....
....
....
264
....
....
....
....
....
....
....
....
....
....
264
....
264
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

376
....
....
....
....
....
376
....
376
376
....

405
....
....
....
....
....
405
....
405
405
....

430
....
....
....
....
....
430
....
430
430
....

420
....
....
....
....
....
420
....
420
420
....

445
....
....
....
....
....
445
....
445
445
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

8
....
....
....
....
....
....
....
....
....
....
....
....

7
....
....
....
....
....
....
....
....
....
....
....
....

7
....
....
....
....
....
....
....
....
....
....
....
....

8
....
....
....
....
....
....
....
....
....
....
....
....

11
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

19

573

1,025

1,302

1,454

....

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

175
....
....
....
....
....
....
....
....
....
....
....

70
17
....
....
....
....
....
....
....
....
....
....

258
....
....
....
....
....
....
....
....
....
....
....

222
....
....
....
....
....
....
....
....
....
....
....

326
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
142
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Brunei Darussalam

516
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

175
153
153
153
....
....
....
22
22
....
....

88
85
85
85
....
....
....
3
3
....
....

258
240
240
240
....
....
....
18
18
....
....

222
....
....
....
....
....
....
222
222
....
....

326
....
....
....
....
....
....
326
326
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

22
22
13
....
....
....
....
....
9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

90
90
90
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

358
358
358
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

88
88
88
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

139
139
139
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

279
493
....
493
....
648
1
155
....
214
....
....
214
....
209
....
6
....

623
356
....
356
....
648
1
292
....
267
....
....
267
....
216
....
51
....

551
1,009
....
1,009
....
1,269
2
262
....
458
....
....
458
....
433
....
25
....

1,036
749
....
749
....
984
1
234
....
287
....
....
287
....
228
....
59
....

1,142
644
....
644
....
741
4
93
....
498
....
318
180
....
312
....
133
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

63
....
2
38
28

29
....
2
11
39

142
....
1
15
156

45
....
1
1
45

154
....
318
....
165

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

4,006

5,796

5,846

8,233

5,420

....

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
143
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bulgaria

918
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
590.6
. . . . 3,347.0 5,863.2 11,437.0 11,875.3 4,256.3

579.3

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

4,360.4

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

B. Capital Account........................................... 20999F B AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

11,790.9
17,204.4

5,413.4

4,367.3
3,403.8

2006

2007

2008

15,154.0
22,129.5

19,533.5
30,041.0

22,503.6
35,108.7

5,236.7
4,105.6

6,764.6
5,202.3

7,942.6
5,957.7

6,975.5 10,507.5 12,605.1

16,380.0
22,153.3

20,583.8
24,255.2

28,192.2
30,918.0

5,773.3

3,671.4

2,725.8

6,884.9
5,034.4

3,922.8

6,741.4
4,163.4

1,093.4

7,571.5
4,345.0

1,119.6
2,778.0

813.6
2,292.7

899.2
3,195.1

4,450.0

5,844.4

1,515.6
1,426.0

1,581.7
2,444.8

1,189.4
4,665.4

1,450.9
4,029.4

1,238.0
224.7

1,065.7
221.5

1,813.1
828.9

....

289.7

228.5

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

293.6
3.9

3,057.3

228.5
....

3,601.6

199.2

1,250.2

C. Financial Account......................................... 30999F N AA

....

4,985.4 8,879.0 19,769.1 17,153.4 2,653.0

1,021.9

1,725.4

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

93.3
72.4
20.9

291.7
98.8
192.9

972.2
294.5
677.7

1,117.5
865.3
252.2

361.2
181.2
542.5

572.6
148.1
424.5

351.6
188.6
163.0

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

4,098.1
2,017.3
2,080.8

7,874.5
5,282.6
2,591.9

13,875.3
7,120.2
6,755.1

10,296.7
5,821.3
4,475.5

3,896.7
2,249.0
1,647.7

1,936.4
1,527.6
408.9

1,981.1
1,839.5
141.6

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

29.1
6.0
35.1

364.7
129.2
235.6

242.2
204.4
37.8

396.3
20.5
375.8

842.6
228.6
614.1

738.6
223.7
514.9

47.1
128.1
175.3

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1,333.2
449.0
1,782.2

728.2
147.6
580.6

594.4
88.6
682.9

680.5
105.5
575.0

20.8
7.6
13.2

104.9
8.7
113.6

428.7
46.3
382.5

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

112.0
112.5
.5

143.0
168.0
25.1

98.6
146.1
47.5

75.6
132.5
56.9

27.8
55.2
27.5

32.9
29.6
3.3

90.8
81.9
8.9

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

15.7
....
15.7

2,968.9
....
2,968.9

590.3
....
590.3

157.8
....
157.8

909.7
....
909.7

65.4
....
65.4

1,138.2
....
1,138.2

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

2,381.0
....
2,381.0

1,928.1

4,044.7
....
4,044.7

7,210.7
....
7,210.7

8,968.8
....
8,968.8

876.9
....
876.9

1,444.0
....
1,444.0

1,650.1
....
1,650.1

D. Net Errors and Omissions............................. 40999S N AA

....

1,219.4

E. Reserves and Related Items.......................... 4Z999S N AA

....

708.8

2,258.6

4,434.3

1,469.1

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

415.0
436.2
142.5

1,924.2
341.4
7.0

4,099.1
344.2
9.0

Conversion rates: leva per U.S. dollar..............

....

1.5741

1.5593

1.4291

RFZ F B

8,945.2 10,620.2

2009

6,707.5 12,421.2 13,198.7

5,581.3

2,572.5

1,795.1

2,421.1
1,097.7

2,164.8
839.8

2,711.6
729.7

3,138.6
764.2

852.6

419.6

654.8

391.4

671.0

563.2
1,415.8

419.7
....

657.4
2.6

574.8
183.3

678.1
7.1

5,634.7 12,289.6 11,455.7

3,244.3

500.7

7,479.5

5,697.7

948.5

1,221.0

475.1

985.7 3,045.2 4,228.6

1,118.0

617.5

735.4

169.5

603.5

260.2

1,469.1
....
....

169.5
....
....

603.5
....
....

260.2
....
....

1.3371

1.4067

1.4774

1.4065

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
144
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bulgaria

918
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
590.6
. . . . 3,347.0 5,863.2 11,437.0 11,875.3 4,256.3
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 4,450.0 5,844.4 8,945.2 10,620.2 3,922.8 1,093.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 16,158.2 20,390.7 26,298.0 30,446.2 23,264.9 27,325.2


. . . . 20,608.2 26,235.1 35,243.2 41,066.4 27,187.7 28,418.6
. . . . 5,413.4 6,975.5 10,507.5 12,605.1 5,773.3 3,671.4
. . . . 11,790.9 15,154.0 19,533.5 22,503.6 16,380.0 20,583.8
. . . . 11,754.1 15,101.4 19,469.0 22,484.4 16,377.5 20,570.9
....
36.8
52.7
64.5
19.3
2.5
12.9
....
....
....
....
....
....
....
. . . . 17,204.4 22,129.5 30,041.0 35,108.7 22,153.3 24,255.2
. . . . 17,204.4 22,129.5 30,041.0 35,108.7 22,153.3 24,255.2
....
....
....
....
....
....
....
....
963.5 1,131.1 1,562.3 1,984.8 1,850.5 2,578.0
....
4,367.3
5,236.7
6,764.6
7,942.6
6,884.9
6,741.4
....
3,403.8
4,105.6
5,202.3
5,957.7
5,034.4
4,163.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,199.5 1,595.8 1,596.4 1,803.6 1,428.8 1,305.5
650.9
705.2
468.3
546.0
496.6
464.4
....
....
543.2
774.3
967.1
1,036.8
757.2
667.5
....
5.5
116.3
160.9
220.7
175.1
173.7
....
1,098.8 1,319.3 1,233.6 1,469.6 1,126.3
935.4
549.0
620.6
262.4
291.0
200.4
149.9
....
....
545.9
630.3
880.1
1,108.2
882.5
697.3
....
3.9
68.4
91.1
70.4
43.5
88.2
....
2,411.8 2,611.7 3,712.5 4,306.1 3,775.7 3,571.2
....
273.9
291.4
893.0
1,013.7
898.9
893.9
....
2,137.9
2,320.3
2,819.5
3,292.4
2,876.8
2,677.3
....
1,308.9 1,477.5 1,879.7 2,310.9 1,755.1 1,231.6
....
943.4
1,069.1
686.0
826.2
564.5
367.7
....
365.5
408.4
1,193.7
1,484.7
1,190.6
863.9
....
756.0 1,029.2 1,455.6 1,832.9 1,680.4 1,864.7
....
102.8
168.5
278.6
249.0
421.8
191.5
....
30.0
37.5
50.9
58.2
134.6
145.3
....
18.3
34.5
34.5
47.7
38.4
28.9
....
5.0
10.5
10.9
11.4
10.0
33.7
....
172.9
200.7
283.8
439.6
371.1
588.7
....
372.2
518.7
711.1
947.1
646.8
830.4
....
39.3
56.3
82.8
76.9
53.7
44.9
....
15.5
2.4
3.1
3.1
4.0
1.2
....
996.2 1,308.8 2,089.0 2,177.2 2,153.0 1,996.4
....
77.4
59.9
481.4
359.1
566.0
185.1
....
93.6
116.9
161.4
135.9
247.0
157.5
....
33.1
66.9
138.7
123.1
158.3
77.2
....
80.6
69.4
77.6
95.2
117.2
114.5
....
83.5
128.1
188.1
191.2
179.0
296.5
....
589.3
839.5
1,001.6
1,240.8
854.0
1,109.2
....
16.5
19.3
30.9
19.6
25.2
55.4
....
22.3
8.8
9.2
12.3
6.3
1.0
....
....
....
....
....
....
....
....
....
....
....

89.6
1,515.6
1,426.0
1,151.0
13.8
364.7
1.8
7.6
1.0
6.6
9.5

2011
579.3
500.7
35,763.7
35,263.0
2,725.8
28,192.2
28,177.6
14.6
....
30,918.0
30,918.0
....
3,226.5
7,571.5
4,345.0
....
....
....
....
1,545.8

533.1
826.6
186.1

1,282.3

159.3
968.9
154.1

4,021.3
977.6
3,043.7
1,338.6
403.2
935.4
2,004.4
88.3
152.0
82.2
18.5
717.1
879.2
56.6
10.5
1,724.1
76.4
112.2
55.8
126.0
312.0
943.3
98.2
.3

863.1 3,476.0 2,578.5 1,658.5 1,479.1 2,295.9


1,581.7
1,189.4
1,450.9
1,119.6
813.6
899.2
2,444.8
4,665.4
4,029.4
2,778.0
2,292.7
3,195.1
1,296.8
788.2
893.9
592.9
382.3
408.8
28.6
69.2
128.4
87.5
15.4
17.2
284.9
401.2
557.0
526.7
431.3
490.5
4.1
5.8
57.6
6.9
18.5
24.1
4.0
.5
52.6
2.3
5.6
13.3
2.3
7.2
32.1
15.6
16.8
8.3
1.6
7.7
20.5
13.4
11.2
4.9
.1
6.2
5.0
4.7
12.9
10.8

_______________________________________________________________________________________________________________________________
145
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bulgaria

918
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

245.9
....
....
....
245.8
120.6
....
120.6
....
....
....
....
1,412.2
912.1
825.2
316.2
509.0
86.9
220.9
....
....
....
220.9
279.2
....
279.2
....
....
....

125.6
.1
....
....
125.5
155.3
....
155.3
....
....
....
....
2,416.2
1,856.8
1,612.1
408.3
1,203.8
244.8
161.9
....
....
....
161.9
397.4
....
397.4
....
....
....

158.1
.8
....
....
157.4
237.3
....
237.3
....
....
....
....
4,596.2
3,742.1
3,090.2
862.0
2,228.2
651.9
168.8
....
....
....
168.8
685.3
....
685.3
....
....
....

283.6
1.3
....
....
282.3
215.7
....
215.7
....
....
....
....
3,901.0
2,724.9
1,563.0
1,826.1
263.1
1,162.0
143.6
....
....
....
143.6
1,032.4
....
1,032.4
....
....
....

410.5
2.5
....
....
408.1
109.2
....
109.2
....
....
....
....
2,690.5
1,823.4
832.0
1,209.1
377.2
991.5
99.0
....
....
....
99.0
768.1
....
768.1
....
....
....

339.6
3.8
....
....
335.7
73.2
....
73.2
....
....
....
....
2,277.2
1,568.5
682.6
1,273.5
590.9
885.9
111.4
....
....
....
111.4
597.3
....
597.3
....
....
....

357.9
3.9
....
....
353.9
108.6
....
108.6
....
....
....
....
3,177.9
2,362.8
1,248.7
1,139.8
109.0
1,114.0
104.2
....
....
....
104.2
710.9
....
710.9
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,013.4
1,238.0
109.5
1,128.5
462.0
666.6
224.7
38.0
186.7
21.6
165.0

844.2
1,065.7
175.0
890.7
419.7
471.1
221.5
24.4
197.1
21.0
176.1

984.2
1,813.1
381.4
1,431.7
905.4
526.4
828.9
507.3
321.6
33.4
288.2

1,323.4
2,421.1
830.6
1,590.5
1,024.7
565.7
1,097.7
652.3
445.3
33.4
411.9

1,324.9
2,164.8
846.4
1,318.3
998.9
319.4
839.8
619.1
220.7
13.7
207.0

1,981.9
2,711.6
1,599.3
1,112.3
950.7
161.6
729.7
628.5
101.2
9.2
91.9

2,374.4
3,138.6
1,910.8
1,227.8
1,074.4
153.4
764.2
675.4
88.8
9.3
79.5

....
....
....
....
....
....
....
....
....
....
....
....
....

289.7
....
....
293.6
220.3
....
220.3
73.3
3.9
....
....
....
3.9

228.5
....
....
228.5
222.4
....
222.4
6.2
....
....
....
....
....

852.6
....
....
563.2
551.2
....
551.2
12.0
1,415.8
1,415.8
1,405.8
10.0
.1

419.6
....
....
419.7
418.8
....
418.8
.9
....
....
....
....
....

654.8
....
2.3
657.4
652.2
....
652.2
5.2
.3
....
....
....
.3

391.4
44.5
.3
530.2
517.5
....
517.5
12.8
183.0
182.2
....
182.2
.8

671.0
51.3
5.3
626.8
619.4
....
619.4
7.5
1.9
....
....
....
1.9

4,276.7 6,620.4 15,334.7 15,684.3 2,483.5

418.4

1,985.6

FINANCIAL ACCOUNT........................................ 30999S N AA

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

. . . . 4,004.8 7,582.8 12,903.1 9,179.2 3,535.4 1,363.9 1,629.5


....
93.3
291.7
972.2 1,117.5
361.2
572.6
351.6
....
72.4
98.8
294.5
865.3
181.2
148.1
188.6
....
65.8
97.2
302.2
844.8
167.8
159.3
183.7
....
65.8
97.2
302.2
844.8
167.8
159.3
183.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
6.6
1.6
7.7
20.5
13.4
11.2
4.9
....
20.9
192.9
677.7
252.2
542.5
424.5
163.0
....
10.3
75.2
42.3
38.6
67.7
92.7
2.3
....
10.6
117.7
635.4
213.5
474.7
331.7
160.7
....
....
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
146
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bulgaria

918
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

of which: Other financial corporations........................ 3BB000 L FA

....

2005

....
....
....
....
....
....
....
....
....
....
....

4,098.1
2,017.3
1,508.3
1,508.3
....
....
509.0
2,080.8
2,305.7
224.9
....

....
1,304.1
....
29.1
....
6.0
....
....
....
.3
....
....
....
5.7
....
....
....
35.1
....
....
....
50.3
....
....
....
15.2
....
....
. . . . 1,333.2
....
449.0
....
....
....
4.6
....
....
....
444.4
....
....
. . . . 1,782.2
....
....
....
123.1
. . . . 1,917.7
....
12.3
....
....

2006

2007

2008

2009

2010

2011

7,874.5 13,875.3 10,296.7


5,282.6 7,120.2 5,821.3
4,078.8
4,892.0
6,084.4
4,078.8
4,892.0
6,084.4
....
....
....
....
....
....
1,203.8
2,228.2
263.1
2,591.9 6,755.1 4,475.5
2,592.7
6,729.7
4,373.6
.8
25.4
101.8
....
....
....

3,896.7
2,249.0
2,626.1
2,626.1
....
....
377.2
1,647.7
1,650.7
3.1
....

1,936.4
1,527.6
2,118.3
2,118.3
....
....
590.7
408.9
395.4
13.5
....

1,981.1
1,839.5
1,730.6
1,730.6
....
....
109.0
141.6
141.3
.3
....

363.4
364.7
129.2
....
.2
....
128.9
....
235.6
....
160.9
....
74.7
....
728.2
147.6
....
36.7
....
110.9
....
580.6
....
42.7
31.1
569.0
....

836.5
242.2
204.4
....
1.5
....
202.9
....
37.8
....
213.6
....
251.4
....
594.4
88.6
....
82.0
....
6.6
....
682.9
....
13.7
366.5
302.7
....

1,076.8
396.3
20.5
....
.4
....
20.9
....
375.8
....
.8
....
374.9
....
680.5
105.5
....
60.2
....
45.3
....
575.0
....
122.1
439.1
13.8
....

821.8
842.6
228.6
....
.1
....
228.7
....
614.1
....
163.1
....
777.2
....
20.8
7.6
....
18.4
....
25.9
....
13.2
....
6.4
113.8
94.1
....

843.5
738.6
223.7
....
.1
....
223.8
....
514.9
....
217.7
....
297.2
....
104.9
8.7
....
3.0
....
5.7
....
113.6
....
1.4
84.9
27.2
....

475.9
47.1
128.1
....
2.9
....
131.0
....
175.3
....
304.4
....
479.7
....
428.7
46.3
....
7.0
....
39.3
....
382.5
....
10.9
317.4
75.9
....

143.0
168.0
25.1

98.6
146.1
47.5

75.6
132.5
56.9

27.8
55.2
27.5

32.9
29.6
3.3

90.8
81.9
8.9

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

. . . . 2,103.0
....
15.7
....
....
....
15.7
....
....
....
470.4
....
703.5
....
217.4
....
....
....
2,087.3
....
....
....
....
....
2,087.3
....
436.2
....
1,178.3
....
14.6
....
1,330.5
....
....

741.4 7,465.9 9,126.6


2,968.9
590.3
157.8
....
....
....
2,968.9
590.3
157.8
....
....
....
1,780.1
489.2
91.4
265.9 1,442.5
367.5
923.0
363.0
301.2
....
....
....
3,710.4 6,875.5 8,968.8
....
....
....
....
....
....
3,710.4 6,875.5 8,968.8
341.4
344.2
....
1,091.1
3,499.5
5,233.2
366.1
22.6
505.8
3,326.6
3,697.6
4,241.4
....
....
....

32.8 1,509.4 2,788.2


909.7
65.4 1,138.2
....
....
....
909.7
65.4 1,138.2
....
....
....
379.7
408.3
1,067.5
70.5
112.5
21.4
600.5
586.2
49.3
....
....
....
876.9 1,444.0 1,650.1
....
....
....
955.5
....
....
78.6 1,444.0 1,650.1
....
....
....
843.2 2,066.8 1,661.3
348.1
31.9
91.2
416.5
590.9
79.9
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

415.0
....
11.7
.2
426.5

1,924.2
....
.1
.2
1,924.2

1,469.1
....
5.8
.3
1,463.0

169.5
....
948.8
.3
779.7

603.5
....
....
.3
603.8

260.2
....
....
.3
259.9

NET ERRORS AND OMISSIONS.........................

....

1,219.4

985.7 3,045.2 4,228.6

1,118.0

617.5

735.4

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

112.0
112.5
.5

4,099.1
....
.1
.3
4,098.9

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
147
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bulgaria

918
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 16,014.0 23,452.9 30,162.2 30,880.0 33,546.5 33,487.3 34,412.1
Direct investment............................................. 8A9999 A AA
....
479.5
877.3 1,888.4 2,736.5 2,919.7 3,869.9 3,888.9
Equity and investment fund shares................. 8AA000 A AA
....
120.8
371.8
683.8 1,402.9 1,265.6 1,325.5 1,476.1
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

120.8
371.8
683.8
1,402.9
1,265.6
1,325.5
1,476.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
358.8
505.5 1,204.7 1,333.6 1,654.1 2,544.4 2,412.8
30.3
110.6
157.8
183.5
250.4
344.9
335.5
328.5
394.9
1,046.9
1,150.1
1,403.6
2,199.5
2,077.4
....
....
....
....
....
....
....
790.5 1,250.3 1,538.6 1,551.0 2,609.8 3,400.0 3,389.3
23.2
166.8
409.9
161.4
495.5
761.4
507.9
....
....
....
....
....
....
....
1.4
1.8
3.4
2.8
2.8
2.5
4.9
....
....
....
....
....
....
....
21.7
165.1
406.5
158.6
492.7
758.9
503.0
....
....
....
....
....
....
....
767.4 1,083.5 1,128.7 1,389.6 2,114.3 2,638.6 2,881.4
....
....
....
....
....
....
....
749.8
988.9
791.6
753.0
655.8
901.1
676.4
....
....
....
....
....
....
....
17.5
94.6
337.1
636.6
1,458.5
1,737.4
2,205.0
....
....
....
....
....
....
....
28.6
265.9
151.7
129.4
39.4
31.1
77.7
6,020.5 9,303.3 9,046.1 8,540.4 9,450.9 8,953.3 9,784.2
....
....
....
....
....
....
....
6,020.5 9,303.3 9,046.1 8,540.4 9,450.9 8,953.3 9,784.2
13.5
16.0
....
....
....
....
....
2,579.5
4,611.3
5,242.1
4,885.3
5,278.8
4,510.1
5,374.0
2,216.6
2,429.7
1,006.5
609.5
501.6
380.4
400.5
1,211.0
2,246.2
2,797.5
3,045.6
3,670.4
4,062.8
4,009.7
....
....
....
....
....
....
....
8,694.8 11,756.1 17,537.4 17,922.7 18,526.7 17,233.0 17,271.9
654.2
813.1
1,059.5
1,107.8
1,399.5
1,812.5
2,020.1
1.0
1.1
1.0
6.5
957.7
940.8
937.9
47.2
49.9
52.7
51.6
52.9
52.2
52.4
7,992.4 10,892.1 16,424.2 16,756.8 16,116.8 14,427.5 14,261.6

. . . . 28,115.1 43,668.5 66,841.5 80,054.0


. . . . 14,225.2 23,906.7 38,937.7 45,905.6
....
9,342.7 15,659.3 23,141.4 26,763.1
....
9,342.7 15,659.3 23,141.4 26,763.1
....
....
....
....
....
....
....
....
....
....
....
4,882.6 8,247.4 15,796.3 19,142.5
....
4,855.0
8,218.3 15,766.4 19,018.7
....
27.6
29.1
29.9
123.8
....
....
....
....
....
....
2,646.7 3,620.9 3,499.0 2,536.6
....
439.7
675.0 1,018.4
702.6
....
....
....
....
....
....
30.6
99.0
243.9
178.2
....
....
....
....
....
....
409.1
576.0
774.5
524.4
....
....
....
....
....
....
2,207.0 2,945.9 2,480.6 1,834.0
....
....
....
....
....
....
125.8
186.5
194.6
62.3
....
2,037.4
2,113.2
1,832.5
1,363.2
....
43.8
646.2
453.5
408.5
....
....
....
....
....

85,498.1
50,519.9
29,641.9
29,641.9
....
....
20,878.0
20,754.6
123.3
....
2,472.1
632.5
....
135.9
....
496.6
....
1,839.6
....
57.2
1,465.0
317.4
....

79,783.5
48,918.4
29,112.0
29,112.0
....
....
19,806.4
19,673.8
132.6
....
2,164.3
514.4
....
99.3
....
415.1
....
1,649.9
....
51.6
1,332.8
265.5
....

77,818.4
49,844.5
30,711.8
30,711.8
....
....
19,132.7
19,018.3
114.3
....
1,646.1
375.8
....
78.6
....
297.2
....
1,270.3
....
61.2
1,027.3
181.8
....

_______________________________________________________________________________________________________________________________
148
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Bulgaria

918
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: leva per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
38.6
84.2
49.9
78.0
44.6
11.4
8.6
. . . . 11,204.7 16,056.7 24,354.8 31,533.8 32,461.4 28,689.3 26,319.2
....
....
....
....
....
....
....
....
....
....
....
....
....
957.7
940.8
937.9
. . . . 11,204.7 16,056.7 24,354.8 31,533.8 31,503.7 27,748.6 25,381.3
....
660.1
340.9
....
....
....
....
....
....
3,031.8
4,487.6
8,283.8 12,728.7 11,956.3
9,061.2
7,233.3
....
2,558.8
2,422.1
2,721.6
2,197.3
2,589.8
2,482.8
2,573.9
....
4,954.0
8,806.0 13,349.5 16,607.9 16,957.6 16,204.5 15,574.1
....
....
....
....
....
....
....
....
. . . . 12,101.2 20,215.6 36,679.3 49,173.9 51,951.6 46,296.1 43,406.3
....

1.6579

1.4851

1.3312

1.3873

1.3641

1.4728

1.5116

_______________________________________________________________________________________________________________________________
149
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burkina Faso

748
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
818.6
720.6
851.2 1,248.0
766.4
....

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

480.9
1,034.4

607.2
1,089.8

654.8
1,254.4

857.6
1,746.0

900.2
1,381.0

....
....
....

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

64.3
359.2

60.5
360.7

85.8
447.0

126.2
606.6

152.9
560.8

....
....
....

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

869.0

783.2

963.2

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

124.1
73.7

140.5
77.9

B. Capital Account........................................... 20999F B AA

....

209.0

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

609.6

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

553.6

482.7

599.7

888.4

480.9

848.5

782.8

960.9

1,368.8

888.8

38.0
58.6

60.5
60.9

63.4
65.7

85.3
89.0

1,372.4

87.4
92.9

894.3

....
....
....

....
....
....

196.7
84.6

216.1
91.7

219.8
91.9

....
....

....
....

1,565.8

292.5

190.9

281.5

....

....

209.1
.1

1,565.8
.1

845.2

292.5
....

558.7

191.8
1.0

1,057.1

281.5
....

485.0

....
....
....

....
....
....

....

149.4

905.5

422.7

504.3

172.1

....

....

....
....
....

17.8
18.2
.4

49.3
46.9
2.4

315.2
316.4
1.1

70.8
70.7
.1

14.7
15.9
1.2

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

32.3
1.5
30.8

83.8
79.9
3.9

21.7
2.3
19.4

33.1
27.7
5.4

56.4
9.1
47.4

....
....
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

8.7
.6
8.1

11.5
....
11.5

47.3
.7
48.0

63.2
6.0
69.2

42.4
1.0
43.4

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

4.3
4.3
....

1.4
1.4
....

.9
.9
....

2.3
2.3
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

73.8
....
73.8

148.7
....
148.7

200.5
....
200.5

385.7
....
385.7

91.8
....
91.8

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

221.7
....
221.7

781.1
....
781.1

334.5
....
334.5

80.3
....
80.3

51.7
....
51.7

312.9

....
....
....
....

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

5.4

7.9

5.5

2.8

48.4

....

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

465.5

68.2

130.5

555.7

361.3

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

146.2
1.8
321.2

65.7
70.9
204.9

383.7
.8
513.5

48.1
18.2
489.3

326.3
55.5
632.0

....
....
....

....
....
....

Conversion rates: CFA francs per U.S. dollar.... RFZ F B

....

527.47

522.89

479.27

447.81

472.19

495.28

471.87

460.2

60.3

136.0

552.9

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
150
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burkina Faso

748
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
634.3
543.5
560.0
963.1
380.0
....
GOODS AND SERVICES..................................... 1Z9999 B XN
....
848.5
782.8
960.9 1,368.8
888.8
....
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

66.5
36.1
30.4
64.1
37.3
26.8
49.4
1.5
.2
2.0
....
27.3
6.7
.8
10.9
191.6
8.2
75.2
3.2
.5
11.2
78.9
....
14.4

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5.5
87.4
92.9
12.0
16.6
75.4
26.9
26.9
1.2
25.6
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

545.2
1,393.7
553.6
480.9
468.5
2.5
14.9
1,034.4
1,034.4
....
294.9
64.3
359.2
3.3
....
....
1.9
1.3

667.7
1,450.5
482.7
607.2
588.3
....
18.9
1,089.8
1,089.8
....
300.2
60.5
360.7
3.3
....
....
.6
2.1

740.6
1,701.5
599.7
654.8
623.0
1.8
33.6
1,254.4
1,254.4
....
361.2
85.8
447.0
.1
.2
....
....
4.9

983.9
2,352.6
888.4
857.6
694.8
6.0
156.8
1,746.0
1,746.0
....
480.4
126.2
606.6
.1
.2
....
1.8
21.0

1,053.0
1,941.8
480.9
900.2
519.3
....
380.9
1,381.0
1,381.0
....
407.9
152.9
560.8
.2
.2
.1
1.2
36.7

....
....
209.0

....
....
222.5

....
257.2

332.8

303.6

44.7
25.4
19.4
45.7
27.2
18.5
21.6
....
....
11.0
....
.4
5.4
....
4.8
102.5
28.7
44.8
3.0
4.2
3.0
5.8
.1
13.0

52.6
30.4
22.2
54.8
30.0
24.7
9.2
....
.1
1.0
.1
.4
2.4
....
5.2
82.9
.2
56.6
1.8
....
4.8
5.1
....
14.3

56.1
31.8
24.3
57.9
36.5
21.4
24.8
2.0
.5
11.1
.1
2.2
1.3
....
7.5
131.8
36.1
66.7
2.8
.2
4.9
8.7
....
12.5

62.3
35.2
27.2
62.7
38.5
24.2
42.8
....
.5
1.8
....
13.9
12.6
2.6
11.3
209.1
8.2
92.4
3.5
.2
22.3
60.7
5.5
16.4

....
....
....
....
....
....
....
....
....
....
....

20.6
38.0
58.6
7.2
14.0
30.8
17.9
17.9
.2
17.7
....

.4
60.5
60.9
7.3
14.8
53.2
40.0
40.0
.5
39.5
....

2.3
63.4
65.7
7.9
15.8
55.4
33.3
33.3
.4
33.0
....

3.7
85.3
89.0
14.3
15.6
71.0
49.1
49.1
.2
48.9
....

1.3

28.2
176.4
4.5

2.1

29.4
189.3
3.8

4.8
.1

34.7
215.1
7.5

20.0
.5
.5

47.4
280.8
4.7

2011

33.1
1.1
2.5

46.6
245.8
11.3

_______________________________________________________________________________________________________________________________
151
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burkina Faso

748
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7.1
.1
....
....
7.0
5.8
....
5.8
....
....
....
....
44.5
6.7
6.6
5.1
1.5
.2
6.9
3.8
....
....
3.0
30.9
....
30.9
....
....
....

7.7
.3
....
....
7.3
5.5
....
5.5
....
....
....
....
46.1
7.1
6.6
5.3
1.3
.5
9.1
4.2
....
....
4.9
29.9
....
29.9
....
....
....

7.7
1.1
....
....
6.7
14.4
....
14.4
....
....
....
....
49.9
11.2
8.0
5.7
2.3
3.2
14.7
2.4
....
....
12.3
24.0
....
24.0
....
....
....

5.0
.9
....
....
4.1
16.9
....
16.9
....
....
....
....
73.3
38.2
34.3
3.3
31.1
3.8
7.8
1.8
....
....
6.0
27.4
....
27.4
....
....
....

15.2
1.3
....
....
13.9
33.4
....
33.4
....
....
....
....
76.3
34.7
27.6
10.8
16.8
7.1
9.3
.9
....
....
8.5
32.3
....
32.3
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

234.7
308.4
184.3
124.1
49.5
74.7
73.7
2.3
71.3
69.8
1.5

239.8
317.7
177.1
140.5
60.6
79.9
77.9
2.6
75.3
71.3
4.0

403.3
487.9
291.2
196.7
76.4
120.3
84.6
2.7
81.9
77.4
4.5

409.3
501.0
284.9
216.1
85.0
131.1
91.7
2.9
88.8
84.0
4.8

514.2
606.1
386.4
219.8
84.0
135.8
91.9
4.5
87.4
82.7
4.6

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

209.0
....
.1
209.1
185.6
45.7
139.9
23.5
....
....
....
....
....

1,565.8
....
.1
1,565.8
1,523.7
1,308.9
214.8
42.1
....
....
....
....
....

292.5
....
....
292.5
239.3
....
239.3
53.2
....
....
....
....
....

190.9
....
1.0
191.8
131.1
....
131.1
60.8
....
....
....
....
....

281.5
....
....
281.5
184.2
....
184.2
97.3
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

430.7

1,014.4

262.0

775.1

147.0

....

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

34.3
17.8
18.2
.5
.5
....
....
17.7
.4
.4
....
....

34.5
49.3
46.9
7.4
.6
6.7
....
39.5
2.4
1.4
1.0
....

336.9
315.2
316.4
349.3
.9
350.2
....
33.0
1.1
1.1
....
....

103.8
70.8
70.7
119.5
5.2
114.4
....
48.9
.1
.1
....
....

71.1
14.7
15.9
41.5
.5
41.0
....
25.6
1.2
1.2
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
152
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burkina Faso

748
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

52.1
21.3
19.9
19.9
....
....
1.5
30.8
30.5
.3
....

83.8
79.9
78.5
78.5
....
....
1.3
3.9
2.1
1.8
....

21.7
2.3
....
....
....
....
2.3
19.4
17.6
1.8
....

33.1
27.7
3.4
....
3.4
....
31.1
5.4
7.0
1.7
....

56.4
9.1
7.8
....
7.8
....
16.8
47.4
47.4
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5.3
8.7
.6
....
.6
....
....
....
8.1
....
5.3
....
2.7
....
3.4
4.3
....
4.8
....
.5
....
7.7
....
7.6
....
.1
....

10.2
11.5
....
....
....
....
....
....
11.5
....
10.3
....
1.2
....
1.4
1.4
....
1.2
....
.2
....
....
....
....
....
....
....

55.8
47.3
.7
....
.7
....
....
....
48.0
....
46.9
1.9
.9
....
8.6
.9
....
1.0
....
.1
....
7.6
....
16.1
....
8.5
....

68.8
63.2
6.0
....
.2
....
6.2
....
69.2
....
65.0
2.1
6.4
....
5.5
2.3
....
.7
....
3.0
....
3.2
....
13.5
....
10.2
....

39.3
42.4
1.0
....
.2
....
1.2
....
43.4
....
52.6
3.2
12.4
....
3.1
....
....
.1
....
.1
....
3.1
....
2.5
....
5.7
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

255.4
73.8
....
73.8
....
41.0
....
114.8
....
329.2
....
....
329.2
13.7
29.4
251.3
62.3
....

973.0
148.7
....
148.7
....
11.0
8.2
129.5
....
824.3
....
....
824.3
7.8
2.3
922.7
108.4
....

364.7
200.5
....
200.5
....
58.2
.5
142.7
....
565.2
....
....
565.2
101.6
9.2
195.2
259.2
....

691.9
385.7
....
385.7
....
47.4
1.7
340.1
....
306.2
....
....
306.2
47.8
17.5
228.5
12.3
....

441.5
91.8
....
91.8
....
165.4
2.5
254.6
....
349.7
....
75.2
274.5
96.3
33.6
232.0
20.3
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

146.2
....
....
....
146.2

65.7
....
.2
.1
65.8

383.7
....
.1
....
383.6

48.1
....
....
.1
48.2

326.3
....
75.0
....
251.2

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

5.4

7.9

5.5

2.8

48.4

....

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
153
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burkina Faso

748
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
801.4
856.1 1,614.8 1,380.8 1,912.2
....
Direct investment............................................. 8A9999 A AA
....
15.4
17.5
20.7
12.6
10.6
....
Equity and investment fund shares................. 8AA000 A AA
....
15.4
17.5
20.7
12.6
10.6
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

15.4
....
....
....
....
....
....
47.5
6.8
....
5.6
....
1.2
....
40.7
....
36.7
....
4.0
....
....
305.0
....
305.0
....
88.3
39.3
177.3
....
433.4
....
.2
10.5
422.7

17.5
....
....
....
....
....
....
16.7
6.8
....
5.4
....
1.4
....
9.9
....
4.1
2.1
3.7
....
....
269.7
....
269.7
....
110.1
152.5
7.0
....
552.2
....
....
11.1
541.0

20.7
....
....
....
....
....
....
100.1
10.2
....
3.8
....
6.4
....
89.9
....
73.5
....
16.4
....
.9
463.9
....
463.9
....
185.7
109.1
169.1
....
1,029.2
....
.1
11.7
1,017.4

12.6
....
....
....
....
....
....
164.0
4.7
....
3.3
....
1.4
....
159.3
....
147.6
....
11.7
....
5.7
271.0
....
271.0
....
130.6
80.0
60.4
....
927.6
....
.1
11.4
916.1

10.6
....
....
....
....
....
....
216.7
5.4
....
3.6
....
1.7
....
211.3
99.5
95.4
....
16.5
....
....
389.1
....
389.1
....
306.7
8.0
74.4
....
1,295.8
....
75.4
11.7
1,208.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
74.2
11.5
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
73.9
11.6
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,545.9
83.4
45.8
45.8
....
....
37.6
29.6
8.0
....
1.9
1.8
....
1.1
....
.6
....
.1
....
....
....
.1
....

1,969.0
178.7
136.0
136.0
....
....
42.6
33.5
9.1
....
2.9
2.9
....
2.5
....
.4
....
....
....
....
....
....
....

3,232.9
570.3
440.6
440.6
....
....
129.7
118.9
10.9
....
54.6
10.0
....
1.8
....
8.2
....
44.7
....
3.6
....
41.1
....

2,977.5
334.2
206.5
206.5
....
....
127.7
119.0
8.7
....
9.5
7.2
....
2.4
....
4.8
....
2.3
....
2.3
....
....
....

3,310.6
570.1
146.2
146.2
....
....
423.9
425.2
1.3
....
15.1
6.8
....
1.9
....
4.9
....
8.3
....
8.3
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
154
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burkina Faso

748
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: CFA francs per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
2,460.6
....
13.4
2,447.1
99.4
152.4
2,021.7
173.5
....

....
1,787.4
....
14.2
1,773.3
96.6
184.5
1,177.2
315.0
....

....
2,607.9
....
14.9
2,593.1
214.9
263.3
1,481.8
633.0
....

....
2,633.7
....
14.5
2,619.2
250.2
238.9
1,740.3
389.9
....

....
2,725.4
....
90.3
2,635.1
357.1
148.7
1,837.3
292.0
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

1,744.5 1,112.9 1,618.1 1,596.7 1,398.4

....

....

490.91

506.96

....
....

556.04

498.07

445.59

471.34

455.34

_______________________________________________________________________________________________________________________________
155
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burundi

618
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
222.0
324.0
271.3
353.3
259.4
323.2

384.6

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

245.2

362.6

352.5

445.6

418.3

436.9

547.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

26.5
3.3

41.3
2.7

81.6
.5

94.3
2.0

162.1
3.2

127.2
13.6

176.0
13.5

B. Capital Account........................................... 20999F B AA

....

24.4

46.3

79.4

67.0

82.2

75.7

59.7

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

25.3
.9

197.6

47.4
1.1

277.7

80.7
1.3

191.9

72.5
5.5

286.3

85.5
3.3

177.2

84.3
8.6

247.5

75.9
16.2

325.0

C. Financial Account......................................... 30999F N AA

....

10.9

15.5

58.2

7.5

747.3

65.1

52.2

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

.6
.6
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

.6
.6
....

....
....
....

.5
.5
....

3.8
3.8
....

.3
.3
....

.8
.8
....

3.4
3.4
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

7.8
....
7.8

30.2
....
30.2

34.2
....
34.2

30.8
....
30.8

28.9
....
28.9

43.6
....
43.6

46.8
....
46.8

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

3.6
....
3.6

14.7
....
14.7

24.5
....
24.5

20.0
....
20.0

718.8
....
718.8

107.9
....
107.9

95.7
....
95.7

D. Net Errors and Omissions............................. 40999S N AA

....

84.3

3.8

23.4

E. Reserves and Related Items.......................... 4Z999S N AA

....

292.7

289.3

273.6

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

33.9
21.3
305.3

18.2
21.3
286.3

62.5
10.8
325.3

Conversion rates: Burundi francs per U.S.


dollar............................................................. RFZ F B

. . . . 1,081.58 1,028.68 1,081.87 1,185.69 1,230.18 1,230.75 1,261.07

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

60.8
188.9

58.7
244.7

58.8
254.1

69.6
335.5

68.4
343.0

101.2
438.4

124.0
552.5

128.1

186.0

195.3

265.8

274.6

337.2

428.5

34.8
134.1

34.5
202.2

30.8
182.1

83.3
258.8

49.9
176.6

79.5
168.3

111.7
212.9

227.4

353.8

346.6

441.3

401.3

426.0

529.7

3.2
20.9

4.6
13.4

8.7
14.6

10.9
15.2

1.4
18.4

1.1
12.0

7.5
25.0

208.5

293.2

250.2

293.8

924.6

59.4

107.6

6.5

5.7

234.4 1,032.2

175.9

267.1

20.0
20.2
175.7

26.8
18.7
221.6

110.1
22.1
322.5

55.4
26.2
1,113.8

182.4

272.7

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
156
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burundi

618
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
5.7
133.5
111.3
259.4
161.2
301.0
GOODS AND SERVICES..................................... 1Z9999 B XN
....
227.4
353.8
346.6
441.3
401.3
426.0
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

95.6
323.0
128.1
60.8
60.8
....
....
188.9
188.9
....
99.3
34.8
134.1
....
....
....
....
1.7

93.2
446.9
186.0
58.7
58.7
....
....
244.7
244.7
....
167.7
34.5
202.2
....
....
....
....
.8

89.6
436.3
195.3
58.8
58.8
....
....
254.1
254.1
....
151.3
30.8
182.1
....
....
....
....
1.4

153.0
594.2
265.8
69.6
69.6
....
....
335.5
335.5
....
175.5
83.3
258.8
....
....
....
....
.9

118.3
519.7
274.6
68.4
68.4
....
....
343.0
343.0
....
126.7
49.9
176.6
....
....
....
....
.5

180.7
606.7
337.2
101.2
101.2
....
....
438.4
438.4
....
88.9
79.5
168.3
....
....
....
....
.7

283.6
529.7
235.7
765.3
428.5
124.0
124.0
....
....
552.5
552.5
....
101.2
111.7
212.9
....
....
....
....
2.4

....

....

....

....

....

....

....

43.9

55.4

58.8

80.7

84.1

111.0

127.2

....
1.5
....
1.5
60.3
54.3
6.0
31.7
....
....
....
....
....
3.4
....
28.3
29.9
....
2.0
2.4
....
....
16.1
....
9.4

1.3
....
1.3
125.2
120.5
4.6
32.4
....
....
....
....
....
3.4
....
28.9
21.6
....
2.5
2.2
....
....
8.2
....
8.7

....
....
....
....
....
....
....
....
....
....
....

17.8
3.2
20.9
....
....
3.2
....
....
....
....
....

8.8
4.6
13.4
....
....
4.6
....
....
....
....
....

.4

1.3

2.4
41.5

.3

.5

1.2
54.1
.1

1.0

.4

2.5
55.8
.6

.3

.6

.2

.4

.3

.4

14.6
96.3

1.2

1.2

8.7
75.5

1.3
....
1.3
103.6
98.6
5.0
28.1
....
....
....
....
....
3.8
....
24.2
19.7
....
1.3
1.9
....
....
7.2
....
9.3

6.8
73.8
.1

17.6
109.2
.4

1.3
....
1.3
144.2
133.9
10.3
81.1
....
.1
.1
....
....
.8
....
80.1
33.9
....
3.4
4.0
....
....
8.2
....
18.3

....
1.5
....
1.5
62.2
52.9
9.3
47.9
....
.4
....
....
....
....
....
47.5
30.3
....
2.6
1.9
....
....
9.2
....
16.5

....
1.8
....
1.8
19.8
11.7
8.1
77.0
....
1.0
.6
....
....
3.2
....
72.2
37.5
....
2.6
1.4
....
....
21.7
....
11.9

2.5
....
2.5
31.2
16.3
14.8
106.8
6.6
3.5
.6
....
3.0
.8
....
92.1
54.5
3.8
3.2
1.0
.6
6.7
15.6
.1
23.4

5.9
8.7
14.6
....
....
8.7
....
....
....
....
....

4.3
10.9
15.2
....
....
10.9
....
....
....
....
....

17.0
1.4
18.4
....
....
1.4
....
....
....
....
....

10.9
1.1
12.0
....
....
1.1
....
....
....
....
....

17.5
7.5
25.0
6.0
2.6
1.4
....
....
....
....
....

_______________________________________________________________________________________________________________________________
157
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burundi

618
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
3.2
....
3.2
....
....
....
....
20.9
2.1
2.1
2.1
....
....
....
....
....
....
....
18.8
....
18.8
....
....
....

....
....
....
....
....
4.6
....
4.6
....
....
....
....
13.4
3.4
3.4
3.4
....
....
....
....
....
....
....
10.1
....
10.1
....
....
....

....
....
....
....
....
8.7
....
8.7
....
....
....
....
14.6
4.8
4.8
4.8
....
....
....
....
....
....
....
9.8
....
9.8
....
....
....

....
....
....
....
....
10.9
....
10.9
....
....
....
....
15.2
5.3
5.3
5.3
....
....
....
....
....
....
....
9.9
....
9.9
....
....
....

....
....
....
....
....
1.4
....
1.4
....
....
....
....
18.4
8.1
8.1
8.1
....
....
....
....
....
....
....
10.2
....
10.2
....
....
....

....
....
....
....
....
1.1
....
1.1
....
....
....
....
12.0
10.1
10.1
10.1
....
....
....
....
....
....
....
1.9
....
1.9
....
....
....

....
....
....
....
....
1.4
....
1.4
....
....
....
....
22.3
8.2
8.2
8.2
....
....
....
....
....
....
....
14.1
....
14.1
....
....
....

....
....
....
....
....
....
....
....
....
....
....

239.5
242.8
223.2
19.5
.1
19.5
3.3
1.6
1.7
.2
1.5

229.0
231.8
200.2
31.6
....
31.6
2.7
.2
2.5
.2
2.3

241.2
241.7
160.0
81.6
.2
81.5
.5
.2
.2
.2
....

186.2
188.2
93.9
94.3
3.6
90.6
2.0
....
2.0
.2
1.7

257.1
260.4
98.3
162.1
28.2
133.9
3.2
....
3.2
1.1
2.1

135.9
149.5
22.2
127.2
34.5
92.7
13.6
.9
12.7
5.0
7.7

263.6
277.1
101.1
176.0
39.4
136.6
13.5
....
13.5
3.5
10.0

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

31.8
....
....
32.7
32.7
7.4
25.3
....
.9
.7
....
.7
.1

62.0
....
....
63.1
63.1
15.7
47.4
....
1.1
1.1
....
1.1
....

128.0
....
....
129.3
129.3
48.6
80.7
....
1.3
1.3
....
1.3
....

140.7
....
....
146.2
146.2
73.7
72.5
....
5.5
5.5
....
5.5
....

1,025.3
....
....
1,028.7
1,028.7
943.1
85.5
....
3.3
3.3
....
3.3
.1

77.9
....
....
86.5
86.5
2.2
84.3
....
8.6
7.8
....
7.8
.8

96.5
....
....
112.7
112.7
36.8
75.9
....
16.2
15.2
....
15.2
1.0

FINANCIAL ACCOUNT........................................ 30999S N AA

....

58.2

67.7

6.7

59.3

756.5

216.6

181.5

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

.6
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

.5
....
....
....
....
....
....
....
....
....
....
....

3.3
.6
.6
.6
.6
....
....
....
....
....
....
....

.3
....
....
....
....
....
....
....
....
....
....
....

.8
....
....
....
....
....
....
....
....
....
....
....

3.4
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
158
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burundi

618
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

.6
.6
.6
.6
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

.5
.5
.5
.5
....
....
....
....
....
....
....

3.8
3.8
3.8
3.8
....
....
....
....
....
....
....

.3
.3
.3
.3
....
....
....
....
....
....
....

.8
.8
.8
.8
....
....
....
....
....
....
....

3.4
3.4
3.4
3.4
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

91.5
7.8
....
7.8
....
4.5
....
3.4
....
99.3
....
....
99.3
21.3
.6
67.4
10.0
....

85.8
30.2
....
30.2
....
15.0
....
15.2
....
116.1
....
....
116.1
21.3
6.0
44.7
44.0
....

68.7
34.2
....
34.2
....
22.0
1.9
10.3
....
103.0
....
....
103.0
10.8
5.8
90.5
4.1
....

166.2
30.8
....
30.8
....
23.2
....
7.6
....
197.0
....
....
197.0
22.1
1.1
125.5
50.5
....

701.4
28.9
....
28.9
....
24.4
.6
4.0
....
672.5
....
93.9
766.4
26.2
2.8
866.5
123.4
....

235.8
43.6
....
43.6
....
5.8
....
37.8
....
279.4
....
....
279.4
19.1
11.3
147.8
101.2
....

151.3
46.8
....
46.8
....
9.5
....
37.3
....
198.1
....
....
198.1
18.7
1.7
46.8
130.9
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

33.9
....
.1
....
34.0

18.2
.1
....
....
18.0

62.5
.3
....
....
62.2

110.1
.1
.2
....
110.3

55.4
.2
103.8
....
48.6

20.0
.3
10.0
....
9.7

26.8
.3
9.4
....
36.5

NET ERRORS AND OMISSIONS.........................

....

84.3

3.8

23.4

59.4

107.6

6.5

5.7

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
159
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burundi

618
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
176.8
223.5
278.7
376.2
454.5
512.8
Direct investment............................................. 8A9999 A AA
....
1.0
1.0
....
.6
1.4
1.4
Equity and investment fund shares................. 8AA000 A AA
....
1.0
1.0
....
.6
1.4
1.4
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
62.8
....
62.9
....
59.2
.1
3.7
....
113.9
.5
.3
.5
112.7

1.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
89.9
....
90.0
....
74.3
.1
15.6
....
132.5
.6
.3
.5
131.0

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
99.6
....
99.6
....
87.8
1.8
10.0
....
179.0
.8
.4
.6
177.3

.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
109.2
....
110.8
....
101.8
1.7
7.3
....
266.5
.8
.1
.6
265.0

1.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
131.1
....
131.1
....
126.6
.6
4.0
....
323.4
1.1
104.5
.6
217.3

1.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
169.9
....
172.1
....
132.2
2.2
37.7
....
343.0
1.4
112.8
.6
228.3

459.2
1.3
1.3
1.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
163.0
....
165.1
....
128.5
2.0
34.5
....
296.2
1.5
121.3
.6
172.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,381.2
.6
.6
.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,487.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,514.1
.5
.5
.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,478.6
3.7
3.7
3.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

692.6
.3
.3
.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

742.1
.8
.8
.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

734.8
3.1
3.1
3.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
160
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Burundi

618
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Burundi francs per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
1,380.6
....
19.6
1,361.0
58.2
37.6
1,247.4
17.8
....

....
1,487.4
....
20.6
1,466.8
82.7
30.9
1,322.1
46.6
....

....
1,513.6
....
21.6
1,492.0
98.2
38.9
1,367.1
7.2
....

....
1,474.9
....
21.1
1,453.8
116.9
33.1
1,269.6
50.8
....

....
692.3
....
115.8
576.5
24.9
39.0
456.2
125.7
....

....
741.3
....
113.7
627.6
109.6
57.6
388.0
101.1
....

....
731.7
....
113.4
618.3
127.4
56.7
340.9
121.7
....

1,204.5 1,264.0 1,235.5 1,102.4

238.1

229.3

275.6

....
....

997.78 1,002.47 1,119.54 1,234.98 1,230.50 1,232.50 1,361.50

_______________________________________________________________________________________________________________________________
161
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cambodia

522
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
307.0
233.9
423.3
820.0
784.6
771.7

711.8

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

5,219.5
6,709.5

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

Balance on goods......................................................... 1A9999 B XN

....

2005

2,908.0
3,918.3

2006

3,692.4
4,771.2

2007

3,247.8
4,515.9

2008

3,493.1
5,076.7

2009

2,995.7
4,489.9

3,884.3
5,466.0

1,010.3

1,078.9

1,268.1

1,583.6

1,494.2

1,581.6

1,490.1

....
....
....

1,118.1
641.8

1,324.6
804.0

1,432.9
816.9

1,527.4
900.2

1,524.7
909.3

1,669.0
971.8

2,212.6
1,323.4

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

67.7
361.1

827.4

90.0
396.1

864.3

112.2
476.2

1,016.0

108.2
583.0

1,431.2

55.6
532.8

1,356.0

58.7
588.5

1,414.2

61.3
756.2

1,295.8

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

541.1
20.7

655.0
24.5

618.5
25.8

639.1
27.9

592.8
21.3

663.9
21.4

605.9
21.9

B. Capital Account........................................... 20999F B AA

....

82.6

295.0

258.3

232.7

311.6

331.0

222.1

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

138.1
55.5

224.4

348.1
53.2

325.6
67.2

292.5
59.8

367.8
56.2

418.4
87.4

305.3
83.2

C. Financial Account......................................... 30999F N AA

....

312.8

213.5

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

4.3
6.3
2.0

8.4
8.4
....

1.1
1.1
....

20.5
20.5
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

379.2
379.2
....

483.2
483.2
....

867.3
867.3
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

4.9
7.2
2.3

7.6
8.2
.6

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

Balance on goods and services...................................... 1Z9999 B XN

534.0

558.2

878.8

884.4

600.9

473.0

440.7

489.6

632.8 1,154.2

583.7

620.4

824.8

18.9
18.9
....

20.6
20.6
....

29.2
29.2
....

815.2
815.2
....

539.1
539.1
....

782.6
782.6
....

901.7
901.7
....

6.3
6.5
.1

11.6
11.6
....

7.6
7.6
....

36.7
9.4
27.2

6.1
11.7
5.6

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

327.2
....
327.2

539.6
....
539.6

733.1
....
733.1

126.8
....
126.8

12.1
....
12.1

685.6
....
685.6

772.9
....
772.9

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

270.0
....
270.0

285.8
....
285.8

506.0
....
506.0

497.9
....
497.9

83.1
....
83.1

580.6
....
580.6

731.3
....
731.3

D. Net Errors and Omissions............................. 40999S N AA

....

14.0

71.5

44.6

44.5

8.4

29.4

26.4

E. Reserves and Related Items.......................... 4Z999S N AA

....

74.5

203.1

423.2

522.4

102.2

150.3

308.7

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

78.4
8.8
12.8

133.7
82.2
12.8

436.0
....
12.8

535.2
....
12.8

115.0
....
12.8

163.0
....
12.8

321.5
....
12.8

Conversion rates: riels per U.S. dollar.............. RFZ F B

....

4,092.5

4,103.3

4,056.2

4,054.2

4,139.3

4,184.9

4,058.5

274.6

165.0

956.4

587.2

88.4

61.1

652.1

467.8

567.0

110.6

179.7

335.1

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
162
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cambodia

522
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
307.0
233.9
423.3
820.0
784.6
771.7
GOODS AND SERVICES..................................... 1Z9999 B XN
....
534.0
558.2
652.1
956.4
878.8
884.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
4,026.1
5,017.0
4,680.6
5,020.5
4,520.4
5,553.3
....
4,560.1
5,575.2
5,332.8
5,976.9
5,399.3
6,437.7
. . . . 1,010.3 1,078.9 1,268.1 1,583.6 1,494.2 1,581.6
....
2,908.0 3,692.4 3,247.8 3,493.1 2,995.7 3,884.3
....
2,907.2
3,692.0
3,247.6
3,493.1
2,995.7
3,884.3
....
....
....
....
....
....
....
....
.8
.3
.1
....
....
....
....
3,918.3 4,771.2 4,515.9 5,076.7 4,489.9 5,466.0
....
3,923.0
4,773.3
4,516.7
5,076.7
4,489.9
5,466.0
....
4.7
2.0
.8
....
....
....
....
476.3
520.7
616.0
627.2
615.4
697.3
....
1,118.1
1,324.6
1,432.9
1,527.4
1,524.7
1,669.0
....
641.8
804.0
816.9
900.2
909.3
971.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
135.9
170.8
217.4
243.9
257.4
282.1
88.7
116.6
149.4
179.1
126.6
152.2
....
....
5.3
6.7
10.4
7.3
5.0
5.2
....
41.8
47.5
57.6
57.5
125.8
124.6
....
360.8
442.8
416.6
483.4
491.1
507.2
40.9
53.8
70.6
82.7
58.6
70.3
....
....
306.5
372.0
325.1
368.9
341.2
400.3
....
13.4
17.0
21.0
31.7
91.3
36.5
....
839.5
991.6 1,020.2 1,101.1 1,081.5 1,179.6
....
64.2
80.8
69.8
79.3
74.8
84.0
....
775.3
910.8
950.3
1,021.7
1,006.6
1,095.6
....
96.2
122.2
122.8
97.0
103.5
197.8
....
....
....
....
....
....
....
....
96.2
122.2
122.8
97.0
103.5
197.8
....
142.7
162.3
195.3
182.4
185.9
207.3
....
2.0
2.5
3.4
7.6
7.2
10.5
....
.8
.9
3.9
.4
6.6
1.0
....
10.6
13.4
9.1
6.2
.1
3.6
....
.4
.1
.1
.5
....
.3
....
33.9
36.3
39.6
41.0
43.0
45.3
....
39.1
54.7
100.4
92.2
94.3
71.9
....
1.4
1.6
1.8
2.0
2.0
1.5
....
54.5
52.7
37.1
32.5
32.7
73.2
....
184.8
239.0
277.4
319.8
314.8
266.8
....
38.3
58.4
63.4
75.1
79.9
103.6
....
28.9
33.0
41.0
45.9
41.5
47.2
....
14.4
12.1
7.7
4.2
5.5
21.1
....
7.3
7.0
10.2
6.4
8.4
6.3
....
32.4
33.7
37.2
39.2
37.7
37.9
....
48.5
46.5
68.2
42.6
53.3
41.9
....
4.2
4.7
5.4
5.4
5.6
5.3
....
10.9
43.6
44.3
101.1
82.9
3.6
....
....
....
....
....
....
....
....
....
....
....

293.4
67.7
361.1
3.7
112.5
64.0
7.8
7.8
7.8
....
....

306.1
90.0
396.1
3.7
100.2
86.3
8.3
8.3
8.3
....
....

363.9
112.2
476.2
4.0
94.4
108.2
8.5
8.5
8.5
....
....

474.8
108.2
583.0
4.3
146.6
103.9
9.0
9.0
9.0
....
....

477.2
55.6
532.8
4.5
139.8
51.1
6.1
6.1
6.1
....
....

529.8
58.7
588.5
4.5
151.0
54.2
6.4
6.4
6.4
....
....

2011
711.8
600.9
7,432.0
8,032.9
1,490.1
5,219.5
5,219.5
....
....
6,709.5
6,709.5
....
889.2
2,212.6
1,323.4
....
....
....
....
306.7

173.6
5.8
127.3

755.4

80.1
631.3
44.0

1,616.4
86.1
1,530.3
253.4
....
253.4
289.5
8.4
5.4
26.1
1.0
45.0
128.7
2.0
73.0
314.6
87.8
69.5
3.9
10.1
39.5
67.4
5.6
30.9
694.9
61.3
756.2
5.0
129.7
56.3
7.0
7.0
7.0
....
....

_______________________________________________________________________________________________________________________________
163
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cambodia

522
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

11.2
11.2
....
....
....
45.0
....
45.0
....
....
....
....
248.6
227.1
213.6
193.6
20.0
13.6
....
....
....
....
....
21.5
....
21.5
....
....
....

12.1
12.1
....
....
....
65.9
....
65.9
....
....
....
....
295.9
270.2
256.6
225.3
31.4
13.6
....
....
....
....
....
25.7
....
25.7
....
....
....

12.4
12.4
....
....
....
87.4
....
87.4
....
....
....
....
381.8
353.0
339.4
265.4
74.0
13.6
....
....
....
....
....
28.8
....
28.8
....
....
....

12.9
12.9
....
....
....
82.0
....
82.0
....
....
....
....
436.4
403.5
389.9
301.7
88.2
13.6
....
....
....
....
....
32.9
....
32.9
....
....
....

8.3
8.3
....
....
....
36.7
....
36.7
....
....
....
....
393.0
357.7
344.2
325.6
18.6
13.6
....
....
....
....
....
35.2
....
35.2
....
....
....

8.6
8.6
....
....
....
39.2
....
39.2
....
....
....
....
437.6
399.1
385.6
366.1
19.5
13.6
....
....
....
....
....
38.4
....
38.4
....
....
....

8.9
8.9
....
....
....
40.4
....
40.4
....
....
....
....
626.5
585.8
572.3
448.8
123.5
13.6
....
....
....
....
....
40.7
....
40.7
....
....
....

....
....
....
....
....
....
....
....
....
....
....

520.4
541.1
291.9
249.2
160.0
89.2
20.7
.3
20.4
16.0
4.4

630.5
655.0
376.5
278.5
180.0
98.5
24.5
.3
24.3
20.0
4.3

592.7
618.5
310.0
308.5
181.8
126.7
25.8
.3
25.5
24.0
1.5

611.2
639.1
404.5
234.7
183.6
51.0
27.9
.3
27.6
24.0
3.6

571.4
592.8
418.0
174.8
137.7
37.1
21.3
.3
21.1
19.2
1.9

642.6
663.9
478.0
185.9
148.0
37.9
21.4
.3
21.1
19.8
1.3

584.0
605.9
412.2
193.7
155.4
38.2
21.9
.3
21.6
20.8
.8

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

82.6
....
....
138.1
102.1
....
102.1
36.0
55.5
....
....
....
55.5

295.0
....
....
348.1
234.4
....
234.4
113.7
53.2
....
....
....
53.2

258.3
....
....
325.6
160.6
....
160.6
165.0
67.2
....
....
....
67.2

232.7
....
....
292.5
159.1
....
159.1
133.5
59.8
....
....
....
59.8

311.6
....
....
367.8
174.9
....
174.9
192.9
56.2
....
....
....
56.2

331.0
....
....
418.4
252.8
....
252.8
165.6
87.4
....
....
....
87.4

222.1
....
....
305.3
220.7
....
220.7
84.7
83.2
....
....
....
83.2

FINANCIAL ACCOUNT........................................ 30999S N AA

....

238.4

10.4

209.6

631.8

481.4

470.1

516.0

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

374.9
4.3
6.3
6.3
6.3
....
....
....
2.0
....
2.0
....

474.8
8.4
8.4
8.4
8.4
....
....
....
....
....
....
....

866.2
1.1
1.1
1.1
1.1
....
....
....
....
....
....
....

794.7
20.5
20.5
20.5
20.5
....
....
....
....
....
....
....

520.2
18.9
18.9
18.9
18.9
....
....
....
....
....
....
....

762.0
20.6
20.6
20.6
20.6
....
....
....
....
....
....
....

872.5
29.2
29.2
29.2
29.2
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
164
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cambodia

522
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

379.2
379.2
359.2
359.2
....
....
20.0
....
....
....
....

483.2
483.2
451.9
451.9
....
....
31.4
....
....
....
....

867.3
867.3
793.3
793.3
....
....
74.0
....
....
....
....

815.2
815.2
726.9
726.9
....
....
88.2
....
....
....
....

539.1
539.1
520.5
520.5
....
....
18.6
....
....
....
....

782.6
782.6
763.1
763.1
....
....
19.5
....
....
....
....

901.7
901.7
778.2
778.2
....
....
123.5
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4.9
4.9
7.2
....
....
....
7.2
....
2.3
....
2.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7.6
7.6
8.2
....
....
....
8.2
....
.6
....
.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

6.3
6.3
6.5
....
....
....
6.5
....
.1
....
.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

11.6
11.6
11.6
....
....
....
11.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7.6
7.6
7.6
....
....
....
7.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

36.7
36.7
9.4
....
....
....
9.4
....
27.2
....
27.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

6.1
6.1
11.7
....
....
....
11.7
....
5.6
....
5.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

53.2
327.2
....
327.2
68.6
94.7
....
301.2
....
274.0
....
....
274.0
8.8
8.3
156.7
117.8
....

323.2
539.6
....
539.6
70.8
139.6
....
329.1
....
216.4
....
....
216.4
82.2
23.9
134.9
139.8
....

214.3
733.1
....
733.1
213.6
353.7
....
165.7
....
518.8
....
....
518.8
....
183.8
212.4
122.7
....

383.9
126.8
....
126.8
50.6
310.2
....
487.5
....
510.7
....
....
510.7
....
333.8
247.4
70.5
....

83.8
12.1
....
12.1
444.1
155.6
....
587.7
....
95.9
....
106.9
11.0
....
284.1
165.9
107.2
....

92.2
685.6
....
685.6
242.8
165.6
....
277.1
....
593.4
....
....
593.4
....
103.8
257.7
231.9
....

28.8
772.9
....
772.9
126.6
175.6
....
723.9
....
744.1
....
....
744.1
....
126.9
234.6
382.6
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

78.4
....
.2
....
78.2

133.7
....
.1
....
133.7

436.0
....
....
....
436.0

535.2
....
.1
....
535.3

115.0
....
106.8
....
8.2

163.0
....
.1
....
163.1

321.5
....
.1
....
321.6

NET ERRORS AND OMISSIONS.........................

....

14.0

71.5

44.6

44.5

8.4

29.4

26.4

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
165
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cambodia

522
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
4,033.4 4,518.2 5,813.8 6,530.4 6,780.0 7,830.1
Direct investment............................................. 8A9999 A AA
....
267.0
279.0
283.8
308.0
325.6
349.9
Equity and investment fund shares................. 8AA000 A AA
....
267.0
279.0
283.8
308.0
325.6
349.9
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

349.9
....
....
....
....
....
....
395.5
331.4
....
....
....
331.4
....
64.1
....
27.3
....
36.8
....
....
4,431.5
....
4,431.5
1,164.0
838.2
....
2,429.3
....
2,653.2
562.1
105.4
....
1,985.7

2011
9,045.0
382.8
382.8
382.8
....
....
....
....
....
....
406.1
346.0
....
....
....
346.0
....
60.1
....
21.7
....
38.4
....
....
5,224.5
....
5,224.5
1,037.4
1,013.8
....
3,173.3
....
3,031.6
619.3
105.0
....
2,307.3

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

267.0
....
....
....
....
....
....
286.4
257.8
....
....
....
257.8
....
28.6
....
....
....
28.6
....
....
2,438.2
....
2,438.2
243.1
556.7
....
1,638.4
....
1,041.7
205.6
.2
....
835.9

279.0
....
....
....
....
....
....
313.0
281.6
....
....
....
281.6
....
31.4
....
.2
....
31.3
....
....
2,829.4
....
2,829.4
313.9
473.4
....
2,042.1
....
1,096.7
253.4
.2
....
843.1

283.8
....
....
....
....
....
....
332.4
299.1
....
....
....
299.1
....
33.3
....
....
....
33.2
....
....
3,582.1
....
3,582.1
527.6
827.1
....
2,227.4
....
1,615.6
336.3
.2
....
1,279.1

308.0
....
....
....
....
....
....
345.6
311.1
....
....
....
311.1
....
34.6
....
....
....
34.6
....
....
3,713.2
....
3,713.2
477.0
517.0
....
2,719.2
....
2,163.5
349.0
.1
....
1,814.4

325.6
....
....
....
....
....
....
355.2
319.7
....
....
....
319.7
....
35.5
....
....
....
35.5
....
....
3,732.0
....
3,732.0
921.2
672.6
....
2,138.2
....
2,367.3
437.3
107.4
....
1,822.6

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,127.6
2,471.0
1,793.3
1,793.3
....
....
677.7
677.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,997.5
2,954.2
2,276.5
2,276.5
....
....
677.7
677.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7,131.8
3,821.5
3,143.8
3,143.8
....
....
677.7
677.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8,457.0
4,636.7
3,959.0
3,959.0
....
....
677.7
677.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

9,092.9 10,466.6 12,102.0


5,175.8 5,958.4 6,850.1
4,498.1 5,280.7 6,172.4
4,498.1
5,280.7
6,172.4
....
....
....
....
....
....
677.7
677.7
677.7
677.7
677.7
677.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
166
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cambodia

522
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: riels per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
2,656.6
....
22.0
2,634.6
81.2
81.0
1,478.0
994.4
....

....
3,043.3
....
23.2
3,020.1
....
104.9
1,617.7
1,297.5
....

....
3,310.3
....
24.4
3,285.9
....
288.7
1,830.1
1,167.2
....

....
3,820.3
....
23.7
3,796.6
....
622.5
2,077.5
1,096.6
....

....
3,917.1
....
131.6
3,785.5
....
338.4
2,243.4
1,203.8
....

....
4,508.2
....
129.2
4,379.0
....
442.2
2,501.1
1,435.7
....

....
5,251.9
....
128.8
5,123.0
....
569.1
2,735.7
1,818.3
....

....
....

1,094.2 1,479.4 1,317.9 1,926.6 2,312.9 2,636.5 3,057.0


4,112.0

4,057.0

3,999.0

4,077.0

4,165.0

4,051.0

4,039.0

_______________________________________________________________________________________________________________________________
167
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cameroon

622
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
493.5
193.3
285.7
449.7 1,118.7
856.3

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

3,232.8
2,883.6

3,831.4
3,168.2

4,877.4
4,221.3

5,828.5
5,357.9

4,058.8
4,272.0

4,311.7
4,625.9

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

969.8
1,428.6

1,012.0
1,463.5

1,369.3
1,685.0

1,477.3
2,666.5

1,247.9
1,954.8

1,286.8
1,736.3

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

44.9
665.3

729.9

46.3
377.5

119.5

66.9
566.0

158.7

65.8
394.5

1,047.3

131.4
608.5

1,397.2

93.1
331.7

1,002.3

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

331.7
95.3

526.8
214.0

619.8
175.4

774.6
177.0

532.0
253.5

334.3
188.3

....
....

B. Capital Account........................................... 20999F B AA

....

203.8

1,585.5

197.2

146.5

184.1

147.0

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

204.1
.3

1,586.0
.5

197.7
.5

152.4
6.0

192.2
8.0

934.6

148.3
1.3

709.3

....
....
....

C. Financial Account......................................... 30999F N AA

365.2 1,004.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

349.2

109.5

663.3

211.7

656.1

340.4

470.6

718.6

920.2

314.2

763.7

289.7

1,778.9

482.9

....

77.6

332.2

156.6

527.4

....

....
....
....

13.7
4.7
18.4

5.3
.9
6.2

7.7
14.3
22.0

2.2
57.3
59.5

68.8
25.4
43.3

502.5
686.9
184.4

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

243.5
120.2
123.3

59.1
67.2
126.3

189.3
221.5
32.1

20.9
56.1
35.2

740.3
810.9
70.6

537.8
527.5
10.3

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

9.8
10.2
.4

.8
.8
....

3.4
2.8
.7

39.3
5.1
44.4

97.2
6.5
103.7

10.8
4.4
6.4

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

3.1
4.2
1.1

3.8
5.6
1.8

14.5
14.5
....

1.4
1.2
.2

.7
.3
.5

85.2
....
85.1

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

67.0
....
67.0

319.5
....
319.5

2.1
....
2.1

66.4
....
66.4

100.9
....
100.9

550.6
....
550.6

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

388.9
....
388.9

72.6
....
72.6

20.4
....
20.4

449.2
....
449.2

394.4
....
394.4

132.8
....
132.8

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

29.4

170.0

179.9

E. Reserves and Related Items.......................... 4Z999S N AA

....

396.7

1,616.6

819.4

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

243.4
36.2
676.3

627.0
268.3
721.2

919.3
8.0
92.0

Conversion rates: CFA francs per U.S. dollar.... RFZ F B

....

527.5

522.9

479.3

367.3

1,446.6

639.4

303.3

213.3

61.9

70.1

181.9

205.1

159.7

188.8

....

267.0

229.8

6.8

....

354.8
8.5
79.3

472.4
148.2
94.5

226.1
....
219.3

....
....
....

447.8

472.2

495.3

471.9

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
168
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cameroon

622
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
493.5
193.3
285.7
449.7 1,118.7
856.3
GOODS AND SERVICES..................................... 1Z9999 B XN
....
109.5
211.7
340.4
718.6
920.2
763.7
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,202.6
4,312.1
349.2
3,232.8
3,265.2
32.5
....
2,883.6
2,883.6
....
458.7
969.8
1,428.6
....
....
....
6.3
424.9

4,843.4
4,631.7
663.3
3,831.4
3,848.6
17.2
....
3,168.2
3,168.2
....
451.5
1,012.0
1,463.5
....
....
....
10.3
502.6

467.4

452.9

657.1

175.1
16.2
158.8
355.1
152.8
202.2
369.9
2.2
46.4
4.4
.3
56.2
129.2
17.9
113.2
599.8
16.4
100.7
13.7
8.2
49.5
382.1
2.4
26.7

181.1
22.9
158.2
412.5
176.4
236.1
328.3
1.4
12.7
2.9
.2
42.4
139.4
12.8
116.5
587.8
10.4
78.8
8.7
5.2
23.1
393.8
8.9
58.9

....
....
....
....
....
....
....
....
....
....
....

620.4
44.9
665.3
9.9
36.0
35.1
10.1
10.1
10.5
.4
....

331.2
46.3
377.5
12.3
43.6
34.0
17.6
17.6
20.4
2.8
....

53.6
304.3
67.0
124.6
314.4
28.4

50.4
372.0
80.2

109.2
309.6
34.1

6,246.7
7,305.8
5,906.3
8,024.4
656.1
470.6
4,877.4 5,828.5
4,956.0
5,841.6
78.6
13.1
....
....
4,221.3 5,357.9
4,221.3
5,357.9
....
....
315.7 1,189.3
1,369.3
1,477.3
1,685.0
2,666.5
....
....
....
17.7
....
....
....
....
618.5
553.2

269.8
12.9
256.9
388.7
134.5
254.2
487.5
2.9
54.4
6.2
.2
60.5
238.4
17.2
107.7
829.2
8.1
134.4
14.6
8.0
90.8
509.3
4.5
59.5

79.4
532.0
5.2

159.3
15.7
143.6
186.0
67.1
118.9
514.1
4.2
40.5
8.8
.3
42.0
346.2
17.5
54.7
933.5
11.7
100.6
21.2
11.6
17.4
741.2
.9
28.9

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

477.1
131.4
608.5
35.9
71.1
95.6
.1
.1
.7
.8
....

238.6
93.1
331.7
21.2
26.4
71.8
32.9
32.9
33.0
.1
....

....
....
....
....
....
....
....
....
....
....
....

5,306.7
6,226.8
213.3
4,058.8
4,064.2
5.5
....
4,272.0
4,272.0
....
706.9
1,247.9
1,954.8
....
181.4
....
....
490.6

5,598.5
6,362.2
314.2
4,311.7
4,313.3
1.5
....
4,625.9
4,625.9
....
449.5
1,286.8
1,736.3
135.2
....
....
....
478.2

804.3

555.6

616.7

226.1
56.4
169.7
368.1
199.2
168.9
524.6
2.0
39.9
3.1
.3
45.2
289.2
13.9
130.9
659.8
11.3
95.7
9.5
5.7
11.2
471.6
9.7
45.1

155.8
28.4
127.4
410.3
197.2
213.1
768.3
5.4
46.2
11.5
.4
98.2
451.3
26.2
129.0
1,434.2
16.3
137.6
29.5
16.1
132.4
1,009.6
2.4
90.3

499.1
66.9
566.0
15.0
47.6
51.9
29.5
29.5
26.1
3.4
....

328.7
65.8
394.5
25.4
36.1
40.5
10.0
10.0
10.9
.9
....

27.7
490.1
100.8

98.1
531.2
27.8

10.7
494.1
48.3

152.7
643.2
8.4

2011

1.0
449.3
40.3

86.7
463.8
5.1

11.8
427.9
38.5

_______________________________________________________________________________________________________________________________
169
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cameroon

622
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.3
.2
....
....
....
24.7
....
24.7
....
....
....
....
629.3
288.6
288.6
168.8
119.7
....
.2
.1
....
....
.1
340.5
....
340.5
....
....
....

1.0
....
....
....
1.0
15.4
....
15.4
....
....
....
....
333.9
9.8
9.8
92.5
82.6
....
2.7
....
....
....
2.8
321.3
....
321.3
....
....
....

1.6
.3
....
....
1.2
20.8
....
20.8
....
....
....
....
518.5
385.2
385.2
212.3
172.9
....
1.1
.3
....
....
.8
132.2
....
132.2
....
....
....

1.7
.2
....
....
1.5
28.8
....
28.8
....
....
....
....
358.4
164.6
159.2
227.9
68.7
5.4
28.3
26.2
....
....
2.1
165.6
....
165.6
....
....
....

1.0
.2
....
....
.8
94.6
....
94.6
....
....
....
....
537.4
435.8
435.8
139.7
296.1
....
5.5
13.3
....
....
7.8
107.1
....
107.1
....
....
....

29.7
6.0
....
....
23.7
9.2
....
9.2
....
....
....
....
305.2
165.5
165.5
54.9
110.6
....
69.0
47.4
....
....
21.6
70.8
....
70.8
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

236.4
331.7
50.2
281.5
67.1
214.3
95.3
7.4
87.9
20.2
67.7

312.8
526.8
123.6
403.1
117.6
285.5
214.0
9.5
204.5
48.1
156.4

444.4
619.8
145.6
474.2
152.3
321.9
175.4
13.4
162.0
42.0
120.0

597.6
774.6
143.4
631.1
136.7
494.5
177.0
1.6
175.4
20.3
155.1

278.6
532.0
148.4
383.6
148.5
235.1
253.5
18.3
235.1
58.8
176.3

146.0
334.3
154.1
180.3
93.6
86.6
188.3
48.8
139.5
27.8
111.8

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

203.8
....
....
204.1
174.5
101.5
73.0
29.6
.3
....
....
....
.3

1,585.5
....
.5
1,586.0
1,537.9
1,249.6
288.3
48.2
....
....
....
....
....

197.2
....
.5
197.7
155.7
....
155.7
42.0
....
....
....
....
....

146.5
....
.7
152.4
147.4
147.4
....
5.0
5.3
....
....
....
5.3

184.1
....
.5
192.2
184.0
124.3
59.7
8.1
7.5
....
....
....
7.5

147.0
....
1.3
148.3
144.0
124.2
19.8
4.4
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

319.0

1,948.8

662.8

98.2

774.9

520.5

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

257.2
13.7
4.7
5.1
7.1
2.1
....
.4
18.4
.8
19.2
....

64.4
5.3
.9
3.7
3.7
....
....
2.8
6.2
25.0
18.8
....

197.0
7.7
14.3
10.8
6.7
4.1
....
3.4
22.0
.1
22.1
....

23.1
2.2
57.3
58.2
37.4
20.8
....
.9
59.5
92.1
32.5
....

809.1
68.8
25.4
24.7
32.2
7.5
....
.8
43.3
82.8
39.5
....

35.3
502.5
686.9
687.0
47.7
639.4
....
.1
184.4
72.4
112.0
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
170
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cameroon

622
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

243.5
120.2
.4
.2
.6
....
119.7
123.3
93.2
30.1
....

59.1
67.2
15.5
15.2
.2
....
82.6
126.3
102.5
23.7
....

189.3
221.5
48.6
40.2
8.4
....
172.9
32.1
40.0
7.9
....

20.9
56.1
124.9
111.1
13.7
....
68.7
35.2
13.3
21.9
....

740.3
810.9
514.8
517.8
3.0
....
296.1
70.6
98.6
28.0
....

537.8
527.5
416.9
414.8
2.0
....
110.6
10.3
1.4
8.9
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

12.9
9.8
10.2
....
7.7
....
2.6
....
.4
....
.4
....
.8
....
3.1
4.2
....
.9
....
3.3
....
1.1
....
....
....
1.1
....

4.6
.8
.8
....
.9
....
.1
....
....
....
....
....
....
....
3.8
5.6
....
....
....
5.6
....
1.8
....
....
....
1.8
....

17.9
3.4
2.8
....
5.9
....
3.2
....
.7
....
.7
....
....
....
14.5
14.5
....
.2
....
14.3
....
....
....
....
....
....
....

40.7
39.3
5.1
....
5.9
....
.8
....
44.4
....
6.7
....
37.7
....
1.4
1.2
....
1.4
....
.1
....
.2
....
....
....
.2
....

97.9
97.2
6.5
....
6.5
....
....
....
103.7
....
6.5
....
97.2
....
.7
.3
....
....
....
.3
....
.5
....
....
....
.5
....

74.3
10.8
4.4
....
2.9
....
1.6
....
6.4
....
6.7
....
.3
....
85.2
....
....
....
....
....
....
85.1
....
....
85.0
.1
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

318.2 1,381.6
67.0
319.5
....
....
67.0
319.5
....
....
76.1
81.9
1.3
9.5
141.8
228.2
....
....
251.2 1,062.1
....
....
....
....
251.2 1,062.1
32.5
271.6
78.5
31.0
130.1 1,264.5
75.1
505.0
....
....

77.4
2.1
....
2.1
....
136.3
4.1
138.2
....
79.6
....
....
79.6
3.0
54.4
50.8
79.0
....

470.6
66.4
....
66.4
....
143.4
....
77.0
....
537.0
....
....
537.0
10.5
53.1
100.0
679.5
....

536.1
100.9
....
100.9
....
51.6
....
49.3
....
637.0
....
238.7
398.3
186.7
37.3
49.3
223.6
....

637.1
550.6
....
550.6
....
59.9
....
490.7
....
86.5
....
....
86.5
21.1
24.3
98.5
57.4
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA


Monetary gold.............................................................. 3EA000 A AA
Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

243.4
....
1.5
.1
241.9

627.0
....
2.4
....
624.6

919.3
....
.1
.1
919.3

354.8
....
.1
....
354.9

472.4
....
238.2
....
234.2

226.1
....
202.4
....
428.5

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

29.4

170.0

179.9

205.1

159.7

188.8

....

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
171
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Canada

156
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
21,714
18,084
12,003
6,376 40,024 49,307

49,086

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

371,945
320,209

400,249
356,595

432,083
388,313

461,651
417,849

324,521
328,915

393,183
401,865

462,905
460,739

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

55,829
65,749

60,353
72,760

65,338
82,788

68,359
88,791

60,089
79,268

69,166
91,255

76,154
101,188

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

22,941

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

B. Capital Account........................................... 20999F B AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

51,736

2006

43,655

2007

43,770

2008

43,803

2009

4,394

8,682

2,166

41,816

31,248

26,320

23,371

23,572

30,770

22,868

41,143
60,018

58,675
70,564

19,359

72,121
84,663

13,778

66,799
82,802

7,368

48,754
62,813

37,631

60,021
75,988

46,738

67,059
89,936

45,745

6,637
7,864

8,411
9,686

8,896
10,671

9,882
10,873

7,591
9,984

8,999
11,569

8,786
12,127

....

4,858

3,705

3,934

4,324

3,344

4,620

4,877

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

5,444
586

26,572

4,322
617

21,789

4,652
718

15,937

5,100
776

4,610
1,266

5,293
673

5,549
672

C. Financial Account......................................... 30999F N AA

....

22,950

22,961

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

27,270
13,414
13,856

50,361
16,663
33,697

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

25,545
11,684
13,861

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

10,701

36,681

44,687

44,209

13,145

6,001

47,369

47,357

59,560

58,496
22,020
36,477

88,856
17,074
71,782

36,229
13,224
23,005

36,177
20,435
15,742

47,521
26,309
21,212

64,302
11,304
52,998

118,412
17,510
100,902

65,571
15,470
50,100

15,796
7,202
8,594

20,633
10,196
10,438

39,510
18,351
21,159

44,222
18,104
26,118

69,392
24,776
44,617

42,775
28,892
13,883

8,390
8,594
16,985

6,282
13,023
6,741

14,017
12,938
1,079

18,375
26,719
8,344

....
....
....

10,884
7,565
3,319

27,374
9,501
17,873

32,014
42,041
10,027

31,582
3,109
28,472

97,720
23,349
74,370

114,112
17,775
96,337

98,238
21,313
76,924

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

17,846
....
17,846

30,834
....
30,834

57,688
....
57,688

35,619
....
35,619

35,740
....
35,740

46,845
....
46,845

35,543
....
35,543

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

29,959
....
29,959

3,622

35,950
....
35,950

1,172

59,417
....
59,417

12,931
....
12,931

12,106
....
12,106

9,650
....
9,650

23,251
....
23,251

D. Net Errors and Omissions............................. 40999S N AA

....

2,287

1,998

1,114

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,335

826

3,906

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,335
....
....

826
....
....

Conversion rates: Canadian dollars per U.S.


dollar............................................................. RFZ F B

....

1.2118

1.1344

2,792

4,699

10,688

2,670

15,351

2,930

218

1,145

7,435

1,769

10,470

3,815

7,916

3,906
....
....

1,769
....
....

10,470
....
....

3,815
....
....

7,916
....
....

1.0741

1.0670

1.1431

1.0302

.9895

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
172
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Canada

156
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
21,714
18,084
12,003
6,376 40,024 49,307
GOODS AND SERVICES..................................... 1Z9999 B XN
....
41,816
31,248
26,320
23,371 23,572 30,770
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

427,774
385,958
51,736
371,945
368,558
....
3,387
320,209
317,917
2,292
9,920
55,829
65,749
....
....
....
....
9,728

460,602
429,354
43,655
400,249
395,371
....
4,879
356,595
353,235
3,360
12,407
60,353
72,760
....
....
....
....
10,470

497,421
471,102
43,770
432,083
426,373
....
5,710
388,313
384,180
4,134
17,450
65,338
82,788
....
....
....
....
11,118

530,010
506,639
43,803
461,651
453,156
....
8,495
417,849
412,199
5,649
20,432
68,359
88,791
....
....
....
....
11,500

384,610
408,183
4,394
324,521
316,016
....
8,505
328,915
323,165
5,750
19,179
60,089
79,268
....
....
....
....
9,293

462,349
493,120
8,682
393,183
378,355
....
14,828
401,865
393,472
8,393
22,089
69,166
91,255
....
....
....
....
11,656

49,086
22,868
539,059
561,927
2,166
462,905
444,262
....
18,643
460,739
449,609
11,130
25,035
76,154
101,188
....
....
....
....
13,503

14,484

16,329

18,576

20,538

16,910

20,422

23,423

13,768
2,301
11,467
18,017
2,941
15,076
32,333
181
3,212
1,954
2,765
5,558
15,183
2,070
1,411
33,248
175
5,008
2,732
6,902
3,291
12,459
1,838
843

14,555
2,552
12,003
20,542
3,302
17,240
35,327
249
3,373
2,581
3,173
6,418
15,773
2,286
1,472
35,888
103
5,452
3,697
6,978
3,639
13,036
2,065
918

15,568
2,704
12,864
24,716
3,974
20,742
38,652
313
3,785
3,218
3,505
6,829
17,159
2,291
1,553
39,496
215
6,123
4,070
8,200
4,409
13,238
2,176
1,065

15,668
2,866
12,802
27,210
3,844
23,366
41,191
231
4,179
3,076
3,599
7,496
18,792
2,184
1,633
41,043
311
6,134
3,944
8,648
4,572
14,087
2,160
1,186

13,733
2,223
11,510
24,170
3,103
21,066
37,064
198
3,983
2,530
3,420
6,821
16,396
2,079
1,637
38,188
292
5,758
3,718
8,126
4,656
12,437
2,039
1,162

15,711
2,640
13,070
29,558
3,781
25,777
41,799
259
4,392
3,312
3,813
7,853
18,236
2,198
1,734
41,274
227
6,240
3,658
8,665
5,191
13,392
2,608
1,292

16,716
2,863
13,853
33,166
4,155
29,012
45,935
293
4,593
3,766
3,946
8,535
20,682
2,488
1,632
44,598
440
6,846
3,506
9,218
5,503
15,060
2,679
1,347

....
....
....
....
....
....
....
....
....
....
....

18,875
41,143
60,018
....
....
41,143
22,805
21,941
8,527
13,414
864

11,889
58,675
70,564
....
....
58,675
32,688
31,220
14,557
16,663
1,469

12,541
72,121
84,663
....
....
72,121
39,615
37,805
15,785
22,020
1,810

16,003
66,799
82,802
....
....
66,799
34,471
33,146
16,072
17,074
1,325

14,059
48,754
62,813
....
....
48,754
24,782
23,109
9,885
13,224
1,673

15,968
60,021
75,988
....
....
60,021
36,763
34,516
14,081
20,435
2,247

22,877
67,059
89,936
....
....
67,059
42,887
40,614
14,305
26,309
2,273

2,238
3,810
3,680

4,717
9,140
627

2,289
4,090
4,091

5,455
10,286
588

2,381
4,336
4,400

6,483
11,217
876

2,560
4,328
4,612

6,698
12,621
1,218

1,852
3,541
3,900

6,046
10,204
659

2,616
4,291
4,749

7,242
12,413
767

3,185
4,770
5,548

7,861
14,583
979

_______________________________________________________________________________________________________________________________
173
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Canada

156
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

10,230
7,209
....
....
3,021
8,108
....
8,108
....
....
....
....
60,018
29,775
27,364
15,679
11,684
2,411
23,256
3,951
....
....
19,305
6,987
....
6,987
....
....
....

15,281
9,878
....
....
5,404
10,705
....
10,705
....
....
....
....
70,564
32,492
29,464
18,160
11,304
3,028
25,384
5,637
....
....
19,747
12,689
....
12,689
....
....
....

20,644
13,100
....
....
7,544
11,862
....
11,862
....
....
....
....
84,663
40,004
36,325
18,814
17,510
3,679
28,762
7,439
....
....
21,323
15,896
....
15,896
....
....
....

21,010
14,693
....
....
6,317
11,317
....
11,317
....
....
....
....
82,802
38,470
34,627
19,157
15,470
3,843
30,746
8,586
....
....
22,160
13,587
....
13,587
....
....
....

17,343
12,323
....
....
5,020
6,629
....
6,629
....
....
....
....
62,813
26,645
23,507
16,305
7,202
3,138
29,432
7,243
....
....
22,189
6,736
....
6,736
....
....
....

16,869
12,017
....
....
4,852
6,389
....
6,389
....
....
....
....
75,988
35,671
32,505
22,310
10,196
3,166
34,509
8,793
....
....
25,716
5,809
....
5,809
....
....
....

17,218
12,631
....
....
4,587
6,954
....
6,954
....
....
....
....
89,936
46,909
42,911
24,560
18,351
3,998
38,243
10,472
....
....
27,771
4,784
....
4,784
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,228
6,637
4,527
2,109
....
2,109
7,864
3,201
4,663
....
4,663

1,275
8,411
6,155
2,257
....
2,257
9,686
3,111
6,575
....
6,575

1,775
8,896
6,465
2,430
....
2,430
10,671
3,413
7,257
....
7,257

991
9,882
7,272
2,610
....
2,610
10,873
3,940
6,934
....
6,934

2,393
7,591
5,090
2,501
....
2,501
9,984
3,682
6,302
....
6,302

2,569
8,999
5,799
3,201
....
3,201
11,569
4,456
7,113
....
7,113

3,341
8,786
5,903
2,883
....
2,883
12,127
4,512
7,615
....
7,615

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

4,858
....
2
5,444
....
....
....
....
584
....
....
....
....

3,705
....
....
4,322
....
....
....
....
617
....
....
....
....

3,934
....
....
4,652
....
....
....
....
718
....
....
....
....

4,324
....
....
5,100
....
....
....
....
776
....
....
....
....

3,344
....
450
4,610
....
....
....
....
817
....
....
....
....

4,620
....
....
5,293
....
....
....
....
673
....
....
....
....

4,877
....
....
5,549
....
....
....
....
672
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

24,285

23,787

17,051

7,771

36,899

43,542

51,644

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

1,725
27,270
13,414
....
....
....
....
13,414
13,856
13,808
48
....

13,942
50,361
16,663
....
....
....
....
16,663
33,697
30,465
3,232
....

59,916
58,496
22,020
....
....
....
....
22,020
36,477
36,594
117
....

23,286
88,856
17,074
....
....
....
....
17,074
71,782
72,419
637
....

20,434
36,229
13,224
....
....
....
....
13,224
23,005
22,842
163
....

15,544
36,177
20,435
....
....
....
....
20,435
15,742
19,332
3,590
....

8,011
47,521
26,309
....
....
....
....
26,309
21,212
19,211
2,001
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
174
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Canada

156
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

25,545
11,684
....
....
....
....
11,684
13,861
14,265
404
....

64,302
11,304
....
....
....
....
11,304
52,998
52,222
776
....

118,412
17,510
....
....
....
....
17,510
100,902
100,027
875
....

65,571
15,470
....
....
....
....
15,470
50,100
41,770
8,331
....

15,796
7,202
....
....
....
....
7,202
8,594
15,426
6,832
....

20,633
10,196
....
....
....
....
10,196
10,438
9,801
636
....

39,510
18,351
....
....
....
....
18,351
21,159
24,974
3,814
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

33,338
44,222
18,104
....
....
....
18,104
....
26,118
....
....
....
26,118
....
10,884
7,565
....
....
....
7,565
....
3,319
....
37
175
3,532
....

42,018
69,392
24,776
....
....
....
24,776
....
44,617
....
....
....
44,617
....
27,374
9,501
....
....
....
9,501
....
17,873
....
402
3,423
14,852
....

74,789
42,775
28,892
....
....
....
28,892
....
13,883
....
....
....
13,883
....
32,014
42,041
....
....
....
42,041
....
10,027
....
39
11,268
21,335
....

39,972
8,390
8,594
....
....
....
8,594
....
16,985
....
....
....
16,985
....
31,582
3,109
....
....
....
3,109
....
28,472
....
169
11,023
17,280
....

91,437 100,096
6,282
14,017
13,023
12,938
....
....
....
....
....
....
13,023
12,938
....
....
6,741
1,079
....
....
....
....
....
....
6,741
1,079
....
....
97,720 114,112
23,349
17,775
....
....
....
....
....
....
23,349
17,775
....
....
74,370
96,337
....
....
174
2,245
39,297
61,192
35,248
32,900
....
....

79,863
18,375
26,719
....
....
....
26,719
....
8,344
....
....
....
8,344
....
98,238
21,313
....
....
....
21,313
....
76,924
....
2,757
55,104
19,064
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

12,113
17,846
....
17,846
....
16,291
395
1,160
....
29,959
....
....
29,959
....
40,912
138
10,815
....

5,116
30,834
....
30,834
....
9,474
281
21,079
....
35,950
....
....
35,950
....
18,134
109
17,925
....

1,728
57,688
....
57,688
....
43,745
477
13,467
....
59,417
....
....
59,417
....
45,447
132
14,102
....

22,687
35,619
....
35,619
....
20,941
880
13,798
....
12,931
....
....
12,931
....
23,838
48
10,859
....

23,635
35,740
....
35,740
....
20,615
408
14,717
....
12,106
....
8,135
3,970
....
20,592
376
16,246
....

37,195
46,845
....
46,845
....
25,683
651
20,511
....
9,650
....
....
9,650
....
10,783
191
942
....

12,291
35,543
....
35,543
....
33,131
1,274
1,138
....
23,251
....
....
23,251
....
27,123
74
3,797
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,335
....
48
1,702
2,989

826
....
19
624
1,431

3,906
....
4
204
4,106

1,769
....
1
591
1,177

10,470
....
8,173
1,133
1,164

3,815
....
5
666
3,144

7,916
....
61
840
7,137

NET ERRORS AND OMISSIONS.........................

....

2,287

1,998

1,114

2,930

218

1,145

7,435

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
175
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Canada

156
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 855,659 1,019,569 1,213,076 1,220,526 1,396,016 1,473,390 1,582,482
Direct investment............................................. 8A9999 A AA
. . . . 388,317 450,313 521,653 524,274 593,523 616,134 670,417
Equity and investment fund shares................. 8AA000 A AA
. . . . 364,027 417,332 498,816 506,375 565,145 586,676
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
24,290
....
....
....
250,934
169,021
....
....
....
169,021
....
81,913
....
....
....
81,913
....
....
183,746
....
183,746
....
85,761
16,826
81,159
....
32,661
5
897
1,401
30,358

....
....
....
32,981
....
....
....
318,639
195,072
....
....
....
195,072
....
123,567
....
....
....
123,567
....
....
215,469
....
215,469
....
92,438
19,269
103,761
....
35,149
6
963
833
33,347

....
....
....
22,836
....
....
....
373,959
229,356
....
....
....
229,356
....
144,603
....
....
....
144,603
....
....
276,386
....
276,386
....
130,001
20,816
125,569
....
41,078
6
1,016
661
39,395

....
....
....
17,899
....
....
....
348,119
226,880
....
....
....
226,880
....
121,239
....
....
....
121,239
....
....
306,178
....
306,178
....
150,220
24,811
131,146
....
41,956
6
991
1,249
39,709

....
....
....
28,377
....
....
....
382,956
249,584
....
....
....
249,584
....
133,372
....
....
....
133,372
....
....
366,068
....
366,068
....
176,340
25,139
164,590
....
53,469
6
9,212
2,424
41,827

....
....
....
29,458
....
....
....
393,918
258,533
....
....
....
258,533
....
135,385
....
....
....
135,385
....
....
408,063
....
408,063
....
187,588
24,175
196,300
....
55,275
6
9,054
3,056
43,159

....
....
....
....
....
....
....
401,608
272,414
....
....
....
272,414
....
129,194
....
....
....
129,194
....
....
447,834
....
447,834
....
221,991
27,150
198,693
....
62,622
6
8,966
3,875
49,776

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

998,397 1,093,361 1,341,540 1,261,144 1,501,577 1,669,349 1,792,165


341,630 376,425 497,204 443,191 523,197 561,111 595,002
283,321 315,884 421,178 339,670 398,169 448,847
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
58,309
60,541
76,026 103,521 125,029 112,264
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
431,295 457,163 508,469 483,876 613,016 730,257 801,775
80,319
84,999
96,921
80,665 105,935 120,125 128,075
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
80,319
84,999
96,921
80,665 105,935 120,125 128,075
....
....
....
....
....
....
....
350,976 372,164 411,548 403,211 507,081 610,132 673,700
....
....
....
....
....
....
....
1,973
1,746
1,765
1,799
3,623
14,392
20,198
136,726 142,365 145,283 140,044 195,908 261,554 311,678
212,277 228,053 264,500 261,368 307,550 334,186 341,824
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
176
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Canada

156
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Canadian dollars per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
225,472
....
1,114
224,358
....
172,526
599
51,233
....

....
259,773
....
1,172
258,601
....
194,515
538
63,548
....

....
335,867
....
1,231
334,636
....
246,295
532
87,809
....

....
334,077
....
1,200
332,876
....
246,055
510
86,312
....

....
365,364
....
9,387
355,977
....
269,616
226
86,134
....

....
377,981
....
9,222
368,759
....
267,982
98
100,679
....

....
395,388
....
9,193
386,194
....
289,717
85
96,392
....

. . . . 142,738
....

1.1645

73,791 128,465
1.1653

.9881

40,618 105,561 195,959 209,684


1.2246

1.0466

1.0009

1.0210

_______________________________________________________________________________________________________________________________
177
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cape Verde

624
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
40.67
82.73 198.26 205.48 247.59 212.89

287.80

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

122.74
805.82

196.52
1,039.67

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

586.33
329.82

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

321.49

371.81

499.59

520.61

559.52

553.29

646.59

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

311.99
31.17

333.99
44.91

405.52
104.20

422.28
107.15

390.33
78.40

409.65
69.25

450.54
91.75

B. Capital Account........................................... 20999F B AA

....

20.71

17.47

27.03

26.75

45.89

39.85

12.31

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

21.07
.36

19.96

17.47
....

65.26

27.03
....

171.23

26.75
....

178.73

45.89
....

201.70

39.85
....

173.04

12.31
....

275.49

C. Financial Account......................................... 30999F N AA

....

83.15

151.19

278.47

315.54

225.34

271.74

222.85

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

.01
....
.01

.25
....
.25

.35
.35
....

2.83
.03
2.86

1.65
1.91
.26

.04
.04
....

1.41
1.41
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

80.45
63.41
17.04

131.57
148.83
17.26

191.87
192.75
.89

211.00
210.44
.56

119.77
116.58
3.19

111.76
90.88
20.88

92.94
65.60
27.34

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

.13
.13
....

.40
.40
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

.29
.29
....

4.13
2.22
1.91

.14
....
.14

5.64
1.84
3.80

.01
....
.01

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

76.28
....
76.28

14.56
....
14.56

9.18
....
9.18

40.87
....
40.87

16.93
....
16.93

.98
....
.98

17.25
....
17.25

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

78.99
....
78.99

4.66
....
4.66

92.40
....
92.40

60.71
....
60.71

84.65
....
84.65

159.04
....
159.04

148.58
....
148.58

D. Net Errors and Omissions............................. 40999S N AA

....

1.73

E. Reserves and Related Items.......................... 4Z999S N AA

....

64.92

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

56.07
3.72
12.56

Conversion rates: Cape Verde escudos per U.S


dollar............................................................. RFZ F B

....

88.670

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

77.14
427.19

2006

85.82
544.73

2007

69.68
731.89

2008

102.88
816.40

2009

80.47
756.69

350.05

458.91

662.21

713.52

676.22

683.08

276.64
214.61

386.47
259.06

496.35
301.55

607.61
366.66

486.11
325.99

513.38
307.15

843.15

288.02

331.50

467.41

472.57

516.11

476.85

586.64

19.23
52.70

19.07
59.39

26.73
58.90

27.69
75.73

22.89
66.29

13.91
90.35

14.17
74.12

63.18

85.93

107.24

136.81

23.64

98.70

52.64

9.98

.12

107.75

27.83

69.25

4.39

75.96

107.11

29.06

4.18

29.46

48.25

57.99
....
17.97

86.86
.19
20.07

28.10
.77
.19

5.71
1.53
....

27.20
2.25
....

50.97
2.72
....

87.901

80.567

75.279

79.377

83.259

79.323

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
178
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cape Verde

624
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
40.67
82.73 198.26 205.48 247.59 212.89
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 288.02 331.50 467.41 472.57 516.11 476.85
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

353.78
641.80
350.05
77.14
77.14
....
....
427.19
427.19
....
62.03
276.64
214.61
5.27
....
1.96
6.00
105.86

....
....
....
....
....
....
....
....
....
....
....

55.27
.59
50.01

472.30
803.79
458.91
85.82
85.82
....
....
544.73
544.73
....
127.41
386.47
259.06
3.19
....
1.02
9.15
123.54

71.12
.53
51.90

566.03
1,033.44
662.21
69.68
69.68
....
....
731.89
731.89
....
194.80
496.35
301.55
4.70
....
.80
7.15
126.69

71.12
.03
55.54

710.49
1,183.06
713.52
102.88
102.88
....
....
816.40
816.40
....
240.95
607.61
366.66
5.32
....
1.12
7.91
179.61

79.81

....

99.80

566.58
1,082.69
676.22
80.47
80.47
....
....
756.69
756.69
....
160.12
486.11
325.99
3.99
.01
3.06
7.68
139.94

63.35
.03
76.56

636.12
1,112.97
683.08
122.74
122.74
....
....
805.82
805.82
....
206.23
513.38
307.15
3.50
....
2.88
5.56
178.46

108.81

....

69.65

2011
287.80
586.64
782.85
1,369.50
843.15
196.52
196.52
....
....
1,039.67
1,039.67
....
256.51
586.33
329.82
5.11
....
3.62
14.47
150.43

70.17

....

80.25

97.94

127.25

131.34

161.43

126.25

102.12

112.87

122.01
5.95
116.06
67.23
11.68
55.55
41.55
....
3.26
.64
....
18.79
2.69
.01
16.15
43.44
....
7.51
3.85
.07
8.03
15.74
.64
7.60

208.85
9.40
199.46
82.38
19.43
62.96
49.87
....
4.17
1.16
....
22.75
.87
.01
20.90
40.28
....
9.73
2.68
....
6.84
12.23
.72
8.07

303.93
11.17
292.76
106.94
29.04
77.90
60.23
.11
5.03
1.02
....
25.92
3.58
1.93
22.65
56.12
....
13.30
1.32
1.29
12.93
16.07
1.81
9.40

351.79
13.53
338.27
132.78
34.91
97.87
69.77
.01
7.81
1.21
....
30.84
3.19
.13
26.58
64.54
....
17.02
1.81
.03
11.99
23.20
.65
9.85

285.99
21.54
264.45
135.58
52.75
82.83
53.12
.14
7.46
1.37
....
28.03
1.24
.21
14.66
56.46
.84
15.17
2.29
....
12.42
13.84
.80
11.10

278.15
13.10
265.05
129.34
56.15
73.19
50.38
.01
5.58
.89
....
23.26
.95
.01
19.70
70.14
2.11
16.05
2.30
.34
8.86
28.29
1.74
10.46

368.21
17.45
350.76
132.26
59.78
72.48
58.97
.40
7.29
4.27
....
28.55
2.05
.02
16.40
70.22
2.40
20.51
2.44
....
16.77
19.94
.20
7.96

33.47
19.23
52.70
.15
1.27
19.08
....
....
....
....
....

40.32
19.07
59.39
.78
.65
18.29
.03
.03
.03
....
....

32.17
26.73
58.90
.41
1.47
26.32
....
....
....
....
....

48.05
27.69
75.73
.90
2.42
26.79
.03
.03
.03
....
....

43.41
22.89
66.29
.37
4.70
22.51
....
....
....
....
....

76.44
13.91
90.35
.53
1.52
13.38
.13
....
....
....
.13

59.95
14.17
74.12
.76
1.79
13.41
.11
....
....
....
.11

15.43
39.17
43.34

24.02
51.02
52.20

16.06
63.21
52.07

10.36
79.47
71.60

8.75
63.30
54.20

9.33
56.58
36.21

9.85
66.19
36.83

_______________________________________________________________________________________________________________________________
179
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cape Verde

624
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3.08
3.08
....
....
....
16.00
....
16.00
....
....
....
....
51.43
10.85
10.58
10.38
.20
.27
....
....
....
....
....
40.58
....
40.58
....
....
....

.19
.19
....
....
....
18.07
....
18.07
....
....
....
....
58.74
24.08
23.77
18.20
5.57
.31
.03
.03
....
....
....
34.63
....
34.63
....
....
....

....
....
....
....
....
26.32
....
26.32
....
....
....
....
57.43
28.20
27.63
17.15
10.48
.57
.76
.76
....
....
....
28.46
....
28.46
....
....
....

.11
.11
....
....
....
26.64
....
26.64
....
....
....
....
73.31
38.21
37.68
34.99
2.69
.53
.41
.34
....
....
.07
34.69
....
34.69
....
....
....

....
....
....
....
....
22.51
....
22.51
....
....
....
....
61.60
26.33
25.05
22.96
2.09
1.28
6.47
1.50
....
....
4.96
28.79
....
28.79
....
....
....

....
....
....
....
....
13.26
....
13.26
....
....
....
....
88.83
53.12
52.18
52.18
....
.93
.11
....
....
....
.11
35.60
....
35.60
....
....
....

....
....
....
....
....
13.30
....
13.30
....
....
....
....
72.33
28.44
28.13
28.13
....
.31
.37
.37
....
....
....
43.52
....
43.52
....
....
....

....
....
....
....
....
....
....
....
....
....
....

280.82
311.99
50.11
261.88
136.50
125.38
31.17
1.99
29.18
3.90
25.28

289.08
333.99
51.78
282.22
135.83
146.38
44.91
4.04
40.87
5.07
35.80

301.32
405.52
74.24
331.29
138.46
192.83
104.20
5.67
98.53
4.55
93.98

315.13
422.28
106.22
316.06
154.21
161.85
107.15
2.66
104.49
7.59
96.90

311.93
390.33
89.36
300.97
136.38
164.59
78.40
1.98
76.42
7.14
69.29

340.41
409.65
109.32
300.33
130.39
169.94
69.25
3.33
65.92
6.24
59.68

358.79
450.54
71.41
379.13
175.75
203.38
91.75
1.84
89.91
6.37
83.54

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

20.71
....
....
21.07
20.94
....
20.94
.13
.36
.12
....
....
.24

17.47
....
....
17.47
17.47
....
17.47
....
....
....
....
....
....

27.03
....
....
27.03
26.92
.33
26.59
.11
....
....
....
....
....

26.75
....
....
26.75
26.24
....
26.24
.51
....
....
....
....
....

45.89
....
....
45.89
44.49
....
44.49
1.39
....
....
....
....
....

39.85
....
....
39.85
38.26
....
38.26
1.59
....
....
....
....
....

12.31
....
....
12.31
10.97
....
10.97
1.34
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

18.23

75.24

171.36

286.48

229.53

242.29

271.10

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

80.44
.01
....
....
....
....
....
....
.01
....
.01
....

131.82
.25
....
....
....
....
....
....
.25
....
.25
....

191.52
.35
.35
.35
.35
....
....
....
....
....
....
....

213.83
2.83
.03
.03
.03
....
....
....
2.86
2.55
.31
....

118.12
1.65
1.91
1.91
1.91
....
....
....
.26
.26
....
....

111.72
.04
.04
.04
.04
....
....
....
....
....
....
....

91.53
1.41
1.41
1.41
1.41
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
180
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cape Verde

624
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

80.45
63.41
63.20
63.20
....
....
.20
17.04
17.04
....
....

131.57
148.83
143.26
143.26
....
....
5.57
17.26
17.26
....
....

191.87
192.75
182.27
182.27
....
....
10.48
.89
.89
....
....

211.00
210.44
207.75
207.75
....
....
2.69
.56
.56
....
....

119.77
116.58
114.49
114.49
....
....
2.09
3.19
3.19
....
....

111.76
90.88
90.88
90.88
....
....
....
20.88
20.88
....
....

92.94
65.60
65.60
65.60
....
....
....
27.34
27.34
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.16
.13
.13
....
....
....
.13
....
....
....
....
....
....
....
.29
.29
....
....
....
.29
....
....
....
....
....
....
....

3.74
.40
.40
....
....
....
.40
....
....
....
....
....
....
....
4.13
2.22
....
....
....
2.22
....
1.91
....
....
....
1.91
....

.14
....
....
....
....
....
....
....
....
....
....
....
....
....
.14
....
....
....
....
....
....
.14
....
....
....
.14
....

5.64
....
....
....
....
....
....
....
....
....
....
....
....
....
5.64
1.84
....
....
....
1.84
....
3.80
....
....
....
3.80
....

.01
....
....
....
....
....
....
....
....
....
....
....
....
....
.01
....
....
....
....
....
....
.01
....
....
....
.01
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

6.14
76.28
....
76.28
.37
64.16
2.21
9.54
....
70.14
....
....
70.14
3.80
31.20
25.41
9.73
....

1.25
14.56
....
14.56
.30
14.54
....
.28
....
13.31
....
....
13.31
.07
42.44
25.48
3.72
....

62.96
9.18
....
9.18
.30
7.10
....
2.38
....
72.14
....
....
72.14
.26
12.89
28.81
30.70
....

100.61
40.87
....
40.87
2.61
43.31
....
.17
....
59.74
....
....
59.74
1.07
7.13
42.52
9.02
....

100.05
16.93
....
16.93
.18
16.74
....
....
....
83.13
....
13.36
69.76
2.51
6.60
81.44
7.59
....

157.76
.98
....
.98
1.55
1.12
....
.55
....
156.79
....
....
156.79
.36
10.52
177.29
30.66
....

128.60
17.25
....
17.25
.34
15.98
....
1.61
....
145.85
....
....
145.85
2.36
11.86
177.85
17.77
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

56.07
....
.01
.02
56.06

57.99
....
.02
....
58.01

86.86
....
.11
....
86.75

28.10
....
.12
....
27.98

5.71
....
12.60
....
18.31

27.20
....
2.26
....
29.46

50.97
....
2.74
....
48.23

NET ERRORS AND OMISSIONS.........................

....

1.73

9.98

.12

107.75

27.83

69.25

4.39

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
181
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cape Verde

624
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
482.34
599.96
789.34
715.08
717.12
681.76
Direct investment............................................. 8A9999 A AA
....
....
....
.39
.38
2.25
2.13
Equity and investment fund shares................. 8AA000 A AA
....
....
....
.39
.38
2.25
2.13
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
308.37
....
308.37
2.76
112.86
130.90
61.85
....
173.97
....
.02
.02
173.92

....
....
....
....
....
....
....
.13
.13
....
....
....
.13
....
....
....
....
....
....
....
....
345.37
....
345.37
2.77
113.49
146.13
82.98
....
254.46
....
....
.02
254.43

....
....
....
....
....
....
....
.59
.59
....
....
....
.59
....
....
....
....
....
....
....
....
408.88
....
408.88
2.78
134.56
163.34
108.21
....
379.48
....
.12
.03
379.33

....
....
....
....
....
....
....
.55
.55
....
....
....
.55
....
....
....
....
....
....
....
....
326.84
....
326.84
2.73
81.84
154.42
87.85
....
387.30
....
.24
.02
387.04

....
....
....
....
....
....
....
.57
.57
....
....
....
.57
....
....
....
....
....
....
....
....
319.26
....
319.26
2.66
67.33
159.85
89.42
....
395.04
....
12.88
.03
382.14

....
....
....
....
....
....
....
.53
.53
....
....
....
.53
....
....
....
....
....
....
....
....
286.21
....
286.21
.94
75.63
148.26
61.37
....
392.89
....
10.37
.02
382.49

2011
644.49
3.40
3.40
....
....
....
....
....
....
....
.51
.51
....
....
....
.51
....
....
....
....
....
....
....
....
304.73
....
304.73
1.00
72.82
143.57
87.33
....
335.85
....
7.67
.02
328.16

. . . . 1,067.94 1,293.03 1,751.58 1,919.17 2,222.09 2,352.66 2,482.02


....
360.31
539.41
807.71
960.72 1,125.90 1,161.22 1,223.32
....
333.18
526.26
794.01
948.48 1,109.70 1,125.34 1,174.60
....
333.18
526.26
794.01
948.48 1,109.70 1,125.34 1,174.60
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
27.14
13.15
13.71
12.25
16.21
35.87
48.72
....
27.14
13.15
13.71
12.25
16.21
35.87
48.72
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.06
.36
4.72
4.46
10.50
15.29
14.80
....
.06
.36
2.67
2.53
4.66
4.32
4.18
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.06
.36
2.67
2.53
4.66
4.32
4.18
....
....
....
....
....
....
....
....
....
....
....
2.04
1.93
5.85
10.97
10.62
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
182
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cape Verde

624
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Cape Verde escudos per U.S


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

....
....
....
....
....
....
....
....
....
....

....
707.56
....
.89
706.67
13.91
47.56
488.22
156.99
....

....
753.26
....
.93
752.32
14.62
59.84
574.34
103.52
....

....
939.15
....
.98
938.17
15.14
80.64
673.03
169.35
....

....

585.60

693.07

....

93.473

83.728

2008

2009

2010

2011

....
....
....
....
953.98 1,085.68 1,176.15 1,243.89
....
....
....
....
.95
14.37
14.12
14.08
953.03 1,071.31 1,162.03 1,229.81
15.63
33.03
31.71
27.87
83.49
78.86
112.22
72.23
676.86
782.98
853.55
989.03
177.05
176.43
164.56
140.68
....
....
....
....

962.24 1,204.09 1,504.96 1,670.90 1,837.53


74.907

79.234

76.544

82.525

85.223

_______________________________________________________________________________________________________________________________
183
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Chile

228
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to 2008 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
A. Current Account.......................................... 10999F B XN
....
1,449
7,154
7,458
3,307

3,518

3,269

3,220

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

55,463
40,103

70,897
55,572

81,411
70,618

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

10,153

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

2,452
12,939

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

B. Capital Account........................................... 20999F B AA


Capital account: credit................................................... 20999F C AA
Capital account: debit.................................................... 209999 D AA

Balance on goods......................................................... 1A9999 B XN

41,266
30,429

58,678
35,863

67,971
43,968

66,258
57,663

10,837

22,815

24,003

8,596

15,360

15,324

10,793

7,135
7,819

7,832
8,499

22,149

8,963
10,013

22,954

10,824
11,855

7,565

8,493
10,503

13,350

10,831
12,637

13,519

12,406
14,823

3,374
21,775

6,325
24,950

4,329

5,928
19,730

6,237

6,571
17,966

1,955

8,888
23,653

1,247

7,663
21,677

5,639

2,199
416

4,003
596

3,857
728

3,875
945

2,512
949

5,606
1,091

3,785
1,366

....

41

13

16

15

6,240

14

Balance on current and capital account......................... 129999 B AN

....
....
....

41
....

1,490

13
....

7,168

16
....

7,474

3
....

3,304

15
....

3,532

6,240
....

9,509

14
....

3,206

C. Financial Account......................................... 30999F N AA

....

1,550

3,644

10,238

8,598

2,529

5,928

18,118

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

2,183
1,708
475

2,171
1,894
277

2,573
1,932
641

8,041
7,408
633

7,233
7,407
174

9,231
7,603
1,628

11,822
8,709
3,113

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

6,984
7,320
336

7,298
9,123
1,824

12,534
12,803
270

15,150
14,372
778

12,887
12,424
463

15,373
12,718
2,655

17,299
15,068
2,231

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

4,227
4,025
203

10,085
2,264
7,820

15,953
10,150
5,803

10,252
5,162
5,090

14,269
20,891
6,622

15,380
12,093
3,288

665
6,739
6,075

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1,394
1,571
176

846
124
970

508
388
896

2,633
1,948
685

1,870
328
1,542

9,299
1,774
7,525

10,443
4,477
5,966

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

63
1,244
1,307

301
1,552
1,251

454
2,608
2,154

952
11,708
12,660

1,049
8,252
9,301

934
8,668
9,602

2,418
12,270
14,688

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

2,384
....
2,384

3,927
....
3,927

11,098
....
11,098

3,715
....
3,715

612
....
612

6,694
....
6,694

2,498
....
2,498

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

2,028
....
2,028

3,040

4,094
....
4,094

3,524

6,906
....
6,906

2,764

6,346
....
6,346

5,294

5,876
....
5,876

1,003

1,640
....
1,640

3,582

6,449
....
6,449

D. Net Errors and Omissions............................. 40999S N AA

....

1,329

1,525

449

1,167

645

558

720

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,711

1,998

3,214

6,461

1,648

3,023

14,192

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,711
....
....

1,998
....
....

3,214
....
....

6,461
....
....

1,648
....
....

3,023
....
....

14,192
....
....

Conversion rates: Chilean pesos per U.S.


dollar............................................................. RFZ F B

....

559.77

530.28

522.46

522.46

560.86

510.25

483.67

Balance on goods and services...................................... 1Z9999 B XN

334

3,748

8,376

14,912

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
184
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Chile

228
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

3,269
13,519
81,728
68,209
15,324
70,897
69,845
....
1,052
55,572
55,572
....
1,806
10,831
12,637
....
....
....
....
6,394

3,220
8,376
93,818
85,442
10,793
81,411
79,924
....
1,487
70,618
70,618
....
2,417
12,406
14,823
....
....
....
....
7,219

Data reported to the IMF on a BPM5 basis for 2005 to 2008 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
CURRENT ACCOUNT.......................................... 109999 B XN
....
1,449
7,154
7,458
3,307
GOODS AND SERVICES..................................... 1Z9999 B XN
....
10,153
22,149
22,954
7,565
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

48,401
38,248
10,837
41,266
40,915
....
351
30,429
30,429
....
684
7,135
7,819
....
....
1
63
4,301

66,511
44,362
22,815
58,678
58,147
....
531
35,863
35,863
....
666
7,832
8,499
....
....
2
37
4,695

76,934
53,980
24,003
67,971
67,394
....
577
43,968
43,968
....
1,050
8,963
10,013
....
....
1
63
5,213

77,082
69,517
8,596
66,258
65,495
....
763
57,663
57,663
....
1,031
10,824
11,855
....
....
....
67
6,503

3,518
13,350
63,956
50,606
15,360
55,463
54,552
....
910
40,103
40,103
....
2,010
8,493
10,503
....
....
....
....
4,720

4,135

4,571

5,274

6,765

4,778

6,571

7,870

1,109
151
958
1,051
379
671
1,724
....
163
34
54
222
1,087
69
94
2,570
....
463
256
348
230
1,037
53
184

1,213
172
1,042
1,239
445
795
1,922
....
189
37
55
221
1,236
78
104
2,651
....
431
319
384
211
1,040
55
212

1,477
261
1,217
1,660
494
1,167
2,271
....
224
40
61
233
1,518
84
111
3,015
....
506
368
448
222
1,215
42
216

1,674
551
1,123
1,397
597
801
2,646
....
258
47
64
300
1,759
111
108
3,625
....
646
536
513
288
1,325
47
270

1,604
503
1,101
1,167
353
814
2,169
....
228
349
59
296
1,222
15
....
4,558
....
869
977
597
473
1,628
15
....

1,620
622
998
1,281
513
769
2,817
....
286
434
64
261
1,751
21
....
4,784
....
1,127
1,019
701
431
1,485
21
....

1,831
537
1,294
1,543
562
981
3,356
....
346
455
75
295
2,166
19
....
5,410
....
1,142
1,516
751
370
1,607
23
....

....
....
....
....
....
....
....
....
....
....
....

10,487
2,452
12,939
13
16
2,439
1,063
1,033
87
946
30

18,401
3,374
21,775
3
6
3,372
1,141
1,115
117
998
25

18,625
6,325
24,950
3
6
6,322
2,761
2,728
333
2,394
33

13,802
5,928
19,730
3
6
5,926
2,859
2,809
503
2,306
50

11,395
6,571
17,966
4
6
6,566
4,105
4,086
231
3,855
18

14,765
8,888
23,653
3
5
8,885
6,461
6,447
474
5,972
14

14,015
7,663
21,677
4
5
7,659
4,936
4,921
325
4,596
14

573
2,498
1,230
304
1,571
2,260

678
2,589
1,428
334
1,779
2,458

749
2,872
1,593
382
2,302
2,591

863
3,674
1,967
392
3,234
3,140

746
2,634
1,340
337
2,037
2,403

777
4,103
1,514
425
2,826
3,321

875
4,349
1,995
438
3,338
4,094

_______________________________________________________________________________________________________________________________
185
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Chile

228
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

761
545
....
....
215
615
....
615
....
....
....
....
12,923
11,416
11,268
4,729
6,539
148
928
224
....
....
704
579
....
579
....
....
....

1,157
835
....
....
322
1,075
....
1,075
....
....
....
....
21,770
19,913
19,859
12,716
7,143
54
927
217
....
....
711
929
....
929
....
....
....

2,298
1,375
....
....
923
1,263
....
1,263
....
....
....
....
24,944
22,832
22,735
12,554
10,182
97
1,156
317
....
....
839
956
....
956
....
....
....

1,967
1,121
....
....
846
1,100
....
1,100
....
....
....
....
19,724
17,430
17,309
10,713
6,597
121
1,198
440
....
....
759
1,096
....
1,096
....
....
....

1,829
1,099
....
....
730
633
....
633
....
....
....
....
17,960
15,951
15,833
4,164
11,669
118
1,168
314
....
....
854
841
....
841
....
....
....

2,035
1,438
....
....
598
389
....
389
....
....
....
....
23,648
21,256
21,151
11,011
10,140
106
1,275
338
....
....
937
1,117
....
1,117
....
....
....

2,115
1,472
....
....
643
608
....
608
....
....
....
....
21,673
18,887
18,746
8,406
10,340
141
1,735
471
....
....
1,264
1,050
....
1,050
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,783
2,199
1,352
847
....
847
416
35
381
....
381

3,406
4,003
2,924
1,078
....
1,078
596
21
575
....
575

3,129
3,857
2,556
1,301
....
1,301
728
34
694
....
694

2,930
3,875
2,409
1,466
....
1,466
945
30
915
....
915

1,563
2,512
1,242
1,270
....
....
949
29
920
....
....

4,515
5,606
2,817
2,789
....
....
1,091
59
1,032
....
....

2,418
3,785
2,103
1,682
....
....
1,366
66
1,301
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

41
30
....
11
....
....
....
11
....
....
....
....
....

13
....
....
13
....
....
....
13
....
....
....
....
....

16
....
....
16
....
....
....
16
....
....
....
....
....

3
....
....
3
....
....
....
3
....
....
....
....
....

15
....
....
....
....
....
....
....
....
....
....
....
....

6,240
....
....
....
....
....
....
....
....
....
....
....
....

14
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

161

5,642

7,025

2,137

4,177

8,951

3,926

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

4,801
2,183
1,708
763
763
....
....
946
475
475
....
....

5,127
2,171
1,894
896
896
....
....
998
277
277
....
....

9,961
2,573
1,932
462
462
....
....
2,394
641
641
....
....

7,109
8,041
7,408
5,102
5,102
....
....
2,306
633
633
....
....

5,654
7,233
7,407
4,700
4,371
148
181
2,706
174
87
465
726

6,142
9,231
7,603
3,907
3,759
75
73
3,696
1,628
184
733
711

5,477
11,822
8,709
4,864
4,680
94
90
3,845
3,113
353
1,401
1,359

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
186
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Chile

228
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

6,984
7,320
781
781
....
....
6,539
336
336
....
....

7,298
9,123
1,980
1,980
....
....
7,143
1,824
1,824
....
....

12,534
12,803
2,622
2,622
....
....
10,182
270
270
....
....

15,150
14,372
7,775
7,775
....
....
6,597
778
778
....
....

12,887
12,424
1,905
1,875
8
22
10,519
463
137
644
971

15,373
12,718
4,854
4,853
....
1
7,863
2,655
1,155
256
1,245

17,299
15,068
5,479
5,479
....
....
9,589
2,231
971
215
1,046

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,833
4,227
4,025
....
17
....
4,008
....
203
....
29
....
174
....
1,394
1,571
....
85
....
1,485
....
176
....
207
461
492
....

9,238
10,085
2,264
....
17
....
2,247
....
7,820
....
95
7,174
742
....
846
124
....
209
....
85
....
970
3
233
43
691
....

16,461
15,953
10,150
....
....
....
10,150
....
5,803
....
61
5,128
614
....
508
388
....
39
....
428
....
896
....
55
584
257
....

7,619
10,252
5,162
....
3
....
5,165
....
5,090
....
195
4,951
334
....
2,633
1,948
....
119
....
1,830
....
685
....
652
587
619
....

12,399
14,269
20,891
....
13
1
20,877
....
6,622
....
37
7,188
604
....
1,870
328
....
198
....
130
....
1,542
....
371
409
1,580
....

6,082
15,380
12,093
....
23
....
12,116
....
3,288
....
15
2,602
671
....
9,299
1,774
....
111
....
1,884
....
7,525
....
2,542
1,585
3,398
....

11,108
665
6,739
....
39
1
6,700
....
6,075
....
67
6,360
352
....
10,443
4,477
....
643
....
3,833
....
5,966
289
763
1,463
3,452
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

63
1,244
1,307

301
1,552
1,251

454
2,608
2,154

952
11,708
12,660

1,049
8,252
9,301

934
8,668
9,602

2,418
12,270
14,688

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

356
2,384
....
2,384
....
557
....
1,827
....
2,028
....
....
2,028
....
1,276
443
1,195
....

167
3,927
....
3,927
....
1,042
591
2,294
....
4,094
....
....
4,094
12
15
17
4,108
....

4,191
11,098
....
11,098
....
1,838
5,831
3,429
....
6,906
....
....
6,906
3
2,768
12
4,153
....

10,062
3,715
....
3,715
....
136
902
2,949
....
6,346
....
....
6,346
11
1,648
123
4,832
....

5,264
612
....
612
....
952
766
426
....
5,876
....
1,085
4,790
22
2,771
24
2,017
....

5,054
6,694
....
6,694
....
99
388
6,406
....
1,640
....
....
1,640
8
381
20
1,287
....

3,952
2,498
....
2,498
....
1,427
1,557
2,627
....
6,449
....
....
6,449
28
3,089
82
3,471
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,711
....
4
228
1,934

1,998
....
1
82
2,081

3,214
....
4
29
3,181

6,461
....
5
79
6,377

1,648
....
1,085
117
446

3,023
....
88
....
2,935

14,192
....
1
328
13,862

NET ERRORS AND OMISSIONS.........................

....

1,329

1,525

449

1,167

645

558

720

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
187
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Chile

228
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

235,741
60,147
50,478
49,777
413
288
9,668
1,438
3,409
4,821
116,612
94,040
....
49
1
93,990
....
22,572
....
149
14,935
7,488
....
3,588
27,532
....
27,532
249
5,876
4,655
16,752
....
27,863
11
1,217
282
26,353

249,771
68,974
56,193
55,412
460
320
12,782
1,901
4,507
6,374
104,248
76,662
....
10
....
76,652
....
27,586
....
215
20,721
6,650
....
3,844
30,725
....
30,725
250
7,303
3,792
19,379
....
41,979
12
1,214
601
40,151

259,018
154,638
146,301
145,363
119
819
8,338
3,385
1,539
3,414
42,695
21,738
....
3,763
....
17,974
....
20,957
3
4,825
3,138
12,991
....

273,646
158,102
147,645
146,699
120
826
10,457
4,245
1,930
4,282
48,188
21,026
....
3,036
....
17,990
....
27,161
292
5,511
4,544
16,815
....

Data reported to the IMF on a BPM5 basis for 2005 to 2008 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
ASSETS.............................................................. 80999S A AA
....
91,898 120,957 164,585 142,711
Direct investment............................................. 8A9999 A AA
....
21,359
26,025
31,688
31,820
Equity and investment fund shares................. 8AA000 A AA
....
18,761
23,150
28,173
27,672
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

18,761
....
....
2,597
2,597
....
....
37,041
32,741
....
18
....
32,724
....
4,300
....
308
....
3,992
....
1,023
15,513
....
15,513
244
2,130
108
13,031
....
16,962
3
52
188
16,719

23,150
....
....
2,875
2,875
....
....
55,329
43,021
....
36
....
42,985
....
12,308
....
237
7,174
4,897
....
827
19,348
....
19,348
248
3,014
699
15,388
....
19,428
4
54
113
19,257

28,173
....
....
3,516
3,516
....
....
83,449
64,176
....
62
....
64,114
....
19,273
....
366
13,218
5,689
....
1,718
30,820
....
30,820
251
4,889
6,759
18,922
....
16,910
5
53
88
16,763

27,672
....
....
4,149
4,149
....
....
57,299
33,250
....
60
....
33,191
....
24,049
....
171
19,220
4,657
....
3,027
27,404
....
27,404
249
5,023
5,801
16,330
....
23,161
6
57
167
22,932

191,961
51,426
43,386
42,901
299
186
8,040
865
2,354
4,821
89,902
71,078
....
72
1
71,004
....
18,824
....
134
12,394
6,297
....
4,307
20,949
....
20,949
250
5,975
4,376
10,347
....
25,377
9
1,147
287
23,934

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

124,738
74,196
69,932
69,932
....
....
4,264
4,264
....
....
17,985
6,832
....
1,420
....
5,412
....
11,153
....
1,108
3,206
6,840
....

136,868
80,297
77,907
77,907
....
....
2,390
2,390
....
....
19,822
8,051
....
1,329
....
6,722
....
11,771
3
1,351
3,078
7,339
....

163,859
99,413
96,597
96,597
....
....
2,816
2,816
....
....
19,962
9,191
....
1,326
....
7,865
....
10,771
3
1,286
2,486
6,997
....

172,544
99,359
95,955
95,955
....
....
3,404
3,404
....
....
20,014
8,959
....
993
....
7,966
....
11,055
3
1,888
1,987
7,177
....

214,558
127,940
122,390
121,737
76
577
5,550
3,490
746
1,314
27,594
14,116
....
2,024
....
12,092
....
13,478
3
2,343
1,588
9,544
....

_______________________________________________________________________________________________________________________________
188
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Chile

228
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Chilean pesos per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

954
31,603
....
174
31,429
181
6,288
1,068
23,891
....

931
35,818
....
183
35,635
168
6,305
1,127
28,035
....

2,129
42,354
....
193
42,161
168
9,146
1,152
31,695
....

4,088
49,083
....
188
48,895
154
11,221
1,041
36,480
....

5,432
53,591
....
1,281
52,311
148
13,896
1,128
37,139
....

6,304
55,380
....
1,258
54,122
147
14,290
1,094
38,592
....

5,530
61,827
....
1,254
60,573
110
17,393
1,024
42,045
....

....

32,840

15,911

727

29,834

22,596

23,277

23,876

....

514.21

534.43

495.82

629.11

506.43

468.37

521.46

_______________________________________________________________________________________________________________________________
189
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Mainland

924
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
. . . . 132,378 231,843 353,183 420,569 243,257 237,810

201,714

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

108,513

203,776

316,080

377,413

211,598

197,125

176,453

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

27,735
3,869

31,578
3,510

42,646
5,543

52,565
9,409

42,645
10,986

49,521
8,835

55,570
30,309

B. Capital Account........................................... 20999F B AA

....

4,102

4,020

3,099

3,051

3,939

4,630

5,446

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

4,155
53

136,480

4,102
82

235,863

3,315
216

356,282

3,320
268

423,620

4,204
265

4,815
185

5,621
174

C. Financial Account......................................... 30999F N AA

....

91,247

45,285

91,132

37,075 194,494 282,234 215,610

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

20,831
12,475
8,356

33,123
18,345
14,777

30,295
18,133
12,163

72,005
42,776
29,230

79,904
48,991
30,913

87,237
77,167
10,070

101,214
87,936
13,278

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

111,210
94,959
16,251

133,273
114,927
18,346

169,390
144,280
25,110

186,798
150,490
36,308

167,071
147,356
19,715

272,987
240,537
32,449

271,663
221,646
50,017

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

26,157
....
26,157

111,278
1,454
109,824

4,522
15,189
10,667

25,198
2,181
27,379

2,526
40,647
38,121

7,643
8,429
787

6,248
1,104
5,144

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

21,447
20,569
878

42,861
42,861
....

20,965
18,478
2,486

9,654
8,464
1,190

29,613
29,117
496

31,681
31,357
324

13,391
5,308
8,083

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

44,660
....
44,660

31,940
....
31,940

154,769
....
154,769

97,578
....
97,578

18,414
....
18,414

116,262
....
116,262

166,816
....
166,816

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

50,238
....
50,238

45,492
....
45,492

90,364
....
90,364

14,992
....
14,992

61,825
....
61,825

188,708
....
188,708

192,338
....
192,338

D. Net Errors and Omissions............................. 40999S N AA

....

23,247

3,502

13,237

18,859

41,181

53,016

34,971

E. Reserves and Related Items.......................... 4Z999S N AA

....

250,975

284,651

460,651

479,553

400,508

471,659

387,799

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

250,975
....
....

284,651
....
....

460,651
....
....

479,553
....
....

400,508
....
....

471,659
....
....

387,799
....
....

Conversion rates: yuan per U.S. dollar.............

....

8.1943

7.9734

7.6075

6.9487

6.8314

6.7703

6.4615

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

RFZ F B

681,308
561,649

859,607 1,107,846 1,327,576 1,116,147 1,476,226 1,812,319


663,503 817,033 985,716 880,969 1,230,687 1,569,850

119,660

196,104

290,813

341,860

235,179

245,539

242,469

89,150
84,183

113,851
101,037

147,511
130,287

165,990
159,018

144,185
159,233

171,490
194,005

184,761
238,909

124,627

208,919

308,036

348,833

220,130

223,024

188,321

39,273
55,387

54,563
59,707

83,476
75,432

111,787
83,207

108,251
116,783

142,424
168,324

144,606
156,474

227,728

281,148

447,414

460,695

247,196

441,690

242,441

524,675

207,160

422,770

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
190
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Mainland

924
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 132,378 231,843 353,183 420,569 243,257 237,810
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 124,627 208,919 308,036 348,833 220,130 223,024
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

770,458
645,832
119,660
681,308
677,903
3,405
....
561,649
561,649
....
4,967
89,150
84,183
17,567
....
584
216
15,427

....
....
....
....
....
....
....
....
....
....
....

2,546
10,680
2,200

973,458 1,255,356 1,493,566 1,260,332 1,647,715


764,539 947,320 1,144,734 1,040,202 1,424,692
196,104 290,813 341,860 235,179 245,539
859,607 1,107,846 1,327,576 1,116,147 1,476,226
854,671 1,101,030 1,320,439 1,108,682 1,467,187
4,936
6,816
7,137
7,466
9,038
....
....
....
....
....
663,503 817,033 985,716 880,969 1,230,687
663,503 817,033 985,716 880,969 1,230,687
....
....
....
....
....
12,814
17,223
6,972 15,048 22,515
113,851 147,511 165,990 144,185 171,490
101,037 130,287 159,018 159,233 194,005
25,993
29,177
22,396
20,527
16,635
....
....
....
....
....
788
2,943
3,621
1,647
1,728
203
171
94
377
684
21,015
31,324
38,418
23,569
34,211

3,183
15,098
2,734

3,893
24,085
3,346

3,287
30,924
4,207

2,957
15,910
4,702

4,340
24,379
5,492

2011
201,714
188,321
1,997,080
1,808,759
242,469
1,812,319
1,794,413
17,907
....
1,569,850
1,569,850
....
54,148
184,761
238,909
18,271
....
1,557
841
35,570

4,849
24,250
6,471

28,454

34,369

43,276

50,329

46,574

63,257

80,445

29,296
....
....
21,759
....
....
26,276
2,593
549
145
157
2,325
19,878
134
495
33,754
1,619
7,200
159
5,321
2,223
16,454
154
623

33,949
....
....
24,322
....
....
32,105
2,753
555
145
205
3,696
24,036
137
579
42,142
2,050
8,831
891
6,634
2,503
20,605
121
506

37,233
....
....
29,786
....
....
46,834
5,377
904
230
343
5,519
33,592
316
552
57,054
2,910
10,664
557
8,192
3,290
30,431
154
857

40,843
....
....
36,157
....
....
60,713
10,329
1,383
315
571
7,822
39,210
418
666
72,438
4,363
12,743
566
10,319
4,675
38,597
255
920

39,675
....
....
43,702
....
....
58,766
9,463
1,603
356
429
7,710
38,158
97
950
68,580
5,868
11,309
643
11,065
4,442
34,135
278
840

45,814
....
....
54,880
....
....
73,102
14,495
1,727
1,331
830
10,476
43,165
123
955
75,184
5,072
15,755
1,387
13,040
4,103
34,310
371
1,147

48,464
....
....
72,585
....
....
80,899
14,724
3,018
849
743
13,908
46,780
123
753
85,038
3,728
19,738
747
14,706
5,035
39,620
400
1,065

16,114
39,273
55,387
3,337
1,817
35,936
3,699
3,699
775
2,924
....

5,143
54,563
59,707
4,319
2,330
50,244
7,879
7,879
1,181
6,698
....

8,044
83,476
75,432
6,833
2,493
76,643
9,663
9,663
3,591
6,072
....

28,580
111,787
83,207
9,137
2,736
102,651
17,719
17,719
5,116
12,603
....

8,533
108,251
116,783
9,209
2,052
99,041
11,072
11,028
2,481
8,547
44

25,899
142,424
168,324
13,636
1,455
128,788
16,920
16,855
2,738
14,117
66

11,868
144,606
156,474
16,568
1,618
128,038
21,396
21,303
4,011
17,292
93

2,962
24,436
1,056

3,920
29,382
1,066

3,483
38,202
1,591

4,830
43,571
1,927

3,406
40,198
2,970

4,960
55,383
2,914

6,425
70,142
3,877

_______________________________________________________________________________________________________________________________
191
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Mainland

924
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,758
1,341
....
....
1,417
29,479
....
29,479
....
....
....
....
53,569
47,566
47,064
22,600
24,464
503
424
....
....
....
424
5,578
....
5,578
....
....
....

2,849
1,763
....
....
1,085
39,516
....
39,516
....
....
....
....
57,377
49,458
48,824
25,494
23,330
634
162
....
....
....
162
7,757
....
7,757
....
....
....

4,790
903
....
....
3,887
62,190
....
62,190
....
....
....
....
72,939
61,893
60,996
44,997
15,999
897
528
....
....
....
528
10,517
....
10,517
....
....
....

7,071
2,351
....
....
4,720
77,861
....
77,861
....
....
....
....
80,471
72,637
71,832
50,424
21,407
805
2,140
739
....
....
1,401
5,694
....
5,694
....
....
....

4,509
759
....
....
3,750
83,460
....
83,460
....
....
....
....
114,732
105,948
104,901
50,876
54,024
1,047
5,371
4,878
....
....
493
3,413
....
3,413
....
....
....

7,866
3,796
....
....
4,070
104,002
....
104,002
....
....
....
....
166,868
159,637
158,582
54,771
103,812
1,055
2,696
2,486
....
....
210
4,535
....
4,535
....
....
....

4,084
2,906
....
....
1,179
102,558
....
102,558
....
....
....
....
154,856
145,241
144,365
73,064
71,300
877
6,402
6,130
....
....
271
3,213
....
3,213
....
....
....

....
....
....
....
....
....
....
....
....
....
....

23,865
27,735
49
27,686
5,495
22,191
3,869
1,172
2,697
1,305
1,392

28,068
31,578
124
31,453
6,830
24,623
3,510
1,357
2,153
695
1,458

37,102
42,646
643
42,003
10,679
31,324
5,543
1,858
3,686
1,879
1,806

43,156
52,565
1,434
51,131
13,557
37,574
9,409
2,368
7,041
3,612
3,429

31,659
42,645
906
41,740
13,693
28,046
10,986
2,663
8,324
2,393
5,931

40,686
49,521
1,187
48,334
19,804
28,530
8,835
2,665
6,170
299
5,871

25,261
55,570
16
55,554
23,915
31,639
30,309
2,603
27,706
1,948
25,758

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

4,102
....
....
4,155
....
....
....
4,155
53
....
....
....
53

4,020
....
....
4,102
....
....
....
4,102
82
....
....
....
82

3,099
....
....
3,315
4
....
....
3,310
216
....
....
....
216

3,051
....
....
3,320
14
....
....
3,306
268
....
....
....
268

3,939
695
48
3,510
416
....
....
3,094
217
....
....
....
217

4,630
630
53
4,185
723
....
....
3,462
132
....
....
....
132

5,446
1,920
73
3,700
81
....
....
3,620
101
....
....
....
101

FINANCIAL ACCOUNT........................................ 30999S N AA

....

159,727

239,365

369,519

442,479

206,015

189,424

172,189

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

90,379 100,150 139,095 114,792


20,831
33,123
30,295
72,005
12,475
18,345
18,133
42,776
9,551
11,647
12,060
30,173
6,563
8,612
7,812
24,365
2,988
3,035
4,248
5,808
....
....
....
....
2,924
6,698
6,072
12,603
8,356
14,777
12,163
29,230
4,808
9,340
5,200
21,950
3,548
5,437
6,963
7,280
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

87,167 185,750 170,449


79,904
87,237 101,214
48,991
77,167
87,936
40,444
63,051
70,644
21,714
51,444
49,796
18,730
11,607
20,848
....
....
....
8,547
14,117
17,292
30,913
10,070
13,278
17,800
....
14
13,113
10,070
13,264
....
....
....

_______________________________________________________________________________________________________________________________
192
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Mainland

924
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

111,210
94,959
70,495
70,180
315
....
24,464
16,251
16,001
250
....

133,273
114,927
91,597
91,343
254
....
23,330
18,346
17,882
463
....

169,390
144,280
128,281
127,376
904
....
15,999
25,110
24,085
1,026
....

186,798
150,490
129,082
128,486
597
....
21,407
36,308
34,728
1,579
....

167,071
147,356
93,331
91,661
1,670
....
54,024
19,715
17,214
2,501
....

272,987
240,537
136,726
133,388
3,337
....
103,812
32,449
28,180
4,270
....

271,663
221,646
150,346
142,199
8,146
....
71,300
50,017
40,755
9,261
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,710
26,157
....
....
....
....
....
....
26,157
....
25,707
....
450
....
21,447
20,569
....
....
....
....
....
878
....
545
....
333
....

68,417
111,278
1,454
....
....
....
1,454
....
109,824
....
56,438
....
53,386
....
42,861
42,861
....
....
....
....
....
....
....
....
....
....
....

16,443
4,522
15,189
....
....
....
15,189
....
10,667
....
23,817
....
13,150
....
20,965
18,478
....
....
....
....
....
2,486
....
989
....
1,497
....

34,852
25,198
2,181
....
....
....
2,181
....
27,379
....
21,747
....
5,632
....
9,654
8,464
....
....
....
....
....
1,190
....
1,315
....
124
....

27,087
2,526
40,647
....
....
....
40,647
....
38,121
....
44,177
....
6,056
....
29,613
29,117
....
....
....
....
....
496
....
146
379
28
....

24,038
7,643
8,429
....
....
....
8,429
....
787
....
5,289
....
4,502
....
31,681
31,357
....
....
....
....
....
324
....
324
....
....
....

19,639
6,248
1,104
....
....
....
1,104
....
5,144
....
5,174
....
31
....
13,391
5,308
....
....
....
....
....
8,083
3,080
57
3,807
1,254
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,578
44,660
....
44,660
4,354
23,656
....
16,650
....
50,238
....
....
50,238
1,778
9,731
360
39,089
....

13,552
31,940
....
31,940
3,572
352
....
28,720
....
45,492
....
....
45,492
4,101
25,653
483
15,255
....

64,405
154,769
....
154,769
113,793
23,360
....
17,616
....
90,364
....
....
90,364
1,795
15,873
550
73,247
....

112,570
97,578
....
97,578
55,105
49,405
....
6,933
....
14,992
....
....
14,992
709
4,409
256
11,037
....

80,239
18,414
....
18,414
47,539
8,769
54
37,839
....
61,825
....
10,549
51,276
1,019
5,630
760
43,866
....

72,446
116,262
....
116,262
24,453
24,003
6
116,718
....
188,708
....
....
188,708
34,124
91,503
434
62,648
....

25,522
166,816
....
166,816
48,705
91,975
5
123,540
....
192,338
....
....
192,338
14,033
148,932
39
57,477
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

250,975
....
107
1,705
252,573

284,651
....
245
371
285,267

460,651
....
68
282
460,865

479,553
....
38
1,173
478,342

400,508
4,876
11,257
2,324
382,051

471,659
....
54
2,048
469,556

387,799
....
466
3,447
384,818

NET ERRORS AND OMISSIONS.........................

....

23,247

3,502

13,237

18,859

41,181

53,016

34,971

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
193
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Mainland

924

Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 1,229,107 1,690,430 2,416,204 2,956,691 3,436,901 4,118,859 4,718,156
Direct investment............................................. 8A9999 A AA
....
64,493
90,630 115,960 185,694 245,750 317,210 364,193
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
116,739 265,179 284,620 252,509 242,774 257,112 259,959
....
1,454
19,643
21,389
54,575
63,004
61,900
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
116,739 263,725 264,978 231,120 188,199 194,108 198,059
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
216,384 253,854 468,305 552,287 495,200 630,353 838,219
....
....
....
....
....
....
....
216,384 253,854 468,305 552,287 495,200 630,353 838,219
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
831,491 1,080,767 1,547,318 1,966,200 2,453,177 2,914,184 3,255,786
9,977
12,274
17,037
16,940
37,133
48,105
52,997
1,251
1,068
1,192
1,199
12,510
12,344
11,856
1,391
1,081
840
2,031
4,382
6,397
9,785
818,872 1,066,344 1,528,249 1,946,030 2,399,152 2,847,338 3,181,148

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

815,971 1,050,622 1,228,463 1,463,240 1,946,385 2,430,827 2,943,410


471,549 614,383 703,667 915,524 1,314,771 1,569,604 1,804,240
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
76,617 120,715 146,648 167,750 189,985 223,879 248,501
63,636 106,497 129,013 150,530 174,765 206,123 211,431
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
12,981
14,217
17,635
17,220
15,219
17,757
37,070
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
194
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Mainland

924

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: yuan per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
267,805
....
338
267,466
....
....
....
....
....

....
315,523
....
356
315,167
....
....
....
....
....

....
378,148
....
374
377,774
....
....
....
....
....

....
379,966
....
365
379,601
....
....
....
....
....

....
441,630
....
10,958
430,672
....
....
....
....
....

....
637,344
....
10,764
626,580
....
....
....
....
....

....
890,669
....
10,731
879,938
....
....
....
....
....

....

413,136

639,808 1,187,741 1,493,451 1,490,516 1,688,032 1,774,746

....

8.0702

7.8087

7.3046

6.8346

6.8282

6.6229

6.3009

_______________________________________________________________________________________________________________________________
195
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Hong Kong

532
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
20,181
22,928
25,547
29,494
17,963
12,390

12,904

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

289,579
297,206

7,627

14,033

19,701

23,117

26,862

42,965

437,973
494,087

56,114

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

63,709
33,979

72,735
37,060

84,722
42,591

92,292
47,062

86,411
43,939

106,161
51,007

121,468
55,877

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

2006

317,600
331,634

2007

345,979
365,679

2008

365,236
388,353

2009

321,836
348,698

394,015
436,980

22,104

21,642

22,430

22,113

15,610

64,806
64,604

22,305

83,865
80,346

25,161

114,720
109,027

118,546
107,845

100,773
95,243

118,448
114,804

131,012
123,710

....
....

943
3,067

960
3,194

938
3,513

611
3,931

469
3,646

573
4,016

918
4,794

B. Capital Account........................................... 20999F B AA

....

634

373

1,324

2,105

4,671

5,265

7,411

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

1,001
1,636

19,546

1,415
1,788

22,555

3,479
2,155

26,871

4,522
2,417

31,599

6,816
2,144

22,634

7,830
2,566

10,088
2,677

C. Financial Account......................................... 30999F N AA

....

21,448

20,621

19,855

2,139

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

32,343
28,182
4,162

44,464
32,163
12,301

64,999
47,984
17,015

58,591
51,284
7,307

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

38,760
29,173
9,587

44,539
37,736
6,804

58,245
56,647
1,598

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

40,723
27,954
12,768

41,751
15,601
26,149

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

9,256
9,961
705

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

28,123

32,814

21,139

12,189

15,833

9,477

16,779

17,655

20,315

46,147

15,749

10,993

65,126
65,932
805

100,519
84,900
15,619

88,625
79,165
9,460

67,656
56,887
10,770

53,527
52,052
1,475

76,171
54,795
21,376

90,164
85,892
4,272

77,899
69,337
8,562

25,353
18,290
7,062

52,086
25,695
26,391

82,390
46,876
35,514

18,412
36,051
17,640

15,038
14,480
558

75,166
43,625
31,540

12,799
17,423
30,222

9,197
9,492
295

22,213
18,534
3,679

14,856
9,870
4,986

3,920
20,797
16,877

3,338
19,437
16,099

5,574
29,818
24,244

8,126
68,601
60,474

3,169
48,542
45,373

2,403
35,904
33,501

2,947
42,848
39,901

....
....
....

18,750
....
18,750

58,465
....
58,465

163,084
....
163,084

46,105
....
46,105

97,012
....
97,012

60,127
....
60,127

87,332
....
87,332

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

18,432
....
18,432

1,901

61,143
....
61,143

147,141
....
147,141

23,006
....
23,006

454
....
454

126,501
....
126,501

75,409
....
75,409

D. Net Errors and Omissions............................. 40999S N AA

....

3,279

4,082

7,688

209

2,080

7,247

5,018

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,378

6,016

14,704

33,948

70,860

9,153

14,340

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,378
....
....

6,016
....
....

14,704
....
....

33,948
....
....

70,860
....
....

9,153
....
....

14,340
....
....

Conversion rates: Hong Kong dollars per U.S.


dollar............................................................. RFZ F B

....

7.7773

7.7678

7.8014

7.7868

7.7518

7.7692

7.7840

1,934

7,016

33,739

68,781

1,906

9,322

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
196
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Hong Kong

532
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
20,181
22,928
25,547
29,494
17,963
12,390
GOODS AND SERVICES..................................... 1Z9999 B XN
....
22,104
21,642
22,430
22,113
15,610
12,189
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

353,289
331,185
7,627
289,579
289,579
....
....
297,206
297,206
....
29,730
63,709
33,979
....
....
....
....
20,318
....
....
....
10,462
....
....
....
10,296
....
....
13,305
....
....
33,095
313
414
6,270
245
1,207
24,318
270
58
10,211
273
606
1,406
1,289
1,568
4,878
52
141

390,335
368,694
14,033
317,600
317,600
....
....
331,634
331,634
....
35,675
72,735
37,060
....
....
....
....
22,423
....
....
....
11,616
....
....
....
11,637
....
....
14,043
....
....
38,676
268
417
9,268
259
1,191
26,930
280
61
11,402
241
613
2,017
1,357
1,443
5,519
56
155

430,700
408,270
19,701
345,979
345,979
....
....
365,679
365,679
....
42,131
84,722
42,591
....
....
....
....
25,581
....
....
....
13,925
....
....
....
13,758
....
....
15,042
....
....
45,383
346
468
12,441
358
1,143
30,293
272
63
13,624
295
711
2,807
1,504
1,503
6,596
67
141

457,528
435,415
23,117
365,236
365,236
....
....
388,353
388,353
....
45,230
92,292
47,062
....
....
....
....
28,886
....
....
....
15,831
....
....
....
15,307
....
....
16,093
....
....
48,099
203
547
11,995
380
1,563
33,079
265
66
15,139
165
726
3,137
1,610
1,700
7,517
140
143

408,247
392,638
26,862
321,836
321,836
....
....
348,698
348,698
....
42,472
86,411
43,939
....
....
....
....
23,688
....
....
....
12,246
....
....
....
16,408
....
....
15,669
....
....
46,315
139
496
11,286
383
1,577
32,230
135
68
16,024
119
680
3,305
1,700
1,705
8,293
92
130

500,176
487,987
42,965
394,015
394,015
....
....
436,980
436,980
....
55,154
106,161
51,007
....
....
....
....
29,886
....
....
....
14,622
....
....
....
22,201
....
....
17,504
....
....
54,074
145
538
13,142
400
2,126
37,518
135
70
18,881
53
826
3,533
1,978
2,237
10,020
82
151

12,904
9,477
559,441
549,964
56,114
437,973
437,973
....
....
494,087
494,087
....
65,591
121,468
55,877
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

201
64,806
64,604
297
348
64,509
35,046
34,447
14,472
19,975
599

3,520
83,865
80,346
294
377
83,571
44,593
43,692
17,446
26,246
901

5,693
114,720
109,027
317
388
114,403
63,399
62,457
25,573
36,884
942

10,701
118,546
107,845
355
393
118,190
73,944
73,303
26,762
46,541
641

5,530
100,773
95,243
348
413
100,425
73,518
73,112
23,981
49,131
406

3,644
118,448
114,804
340
483
118,108
90,915
90,522
27,926
62,597
393

7,302
131,012
123,710
357
549
130,655
100,291
99,654
30,890
68,764
637

_______________________________________________________________________________________________________________________________
197
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Hong Kong

532
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

18,077
6,764
....
....
11,313
11,386
....
11,386
....
....
....
....
64,256
50,800
50,176
24,668
25,508
624
4,927
4,523
....
....
404
8,530
....
8,530
....
....
....

22,022
7,674
....
....
14,348
16,957
....
16,957
....
....
....
....
79,969
60,643
59,991
24,254
35,736
653
6,663
6,254
....
....
408
12,663
....
12,663
....
....
....

27,043
10,580
....
....
16,462
23,961
....
23,961
....
....
....
....
108,640
83,218
81,947
30,082
51,865
1,271
8,437
7,831
....
....
607
16,984
....
16,984
....
....
....

27,537
12,716
....
....
14,821
16,710
....
16,710
....
....
....
....
107,452
83,504
82,365
35,122
47,243
1,139
10,262
9,611
....
....
651
13,686
....
13,686
....
....
....

20,835
8,160
....
....
12,675
6,072
....
6,072
....
....
....
....
94,830
80,456
79,766
32,815
46,951
690
8,781
8,286
....
....
495
5,594
....
5,594
....
....
....

23,861
11,517
....
....
12,344
3,332
....
3,332
....
....
....
....
114,321
102,004
101,320
38,755
62,565
683
9,295
8,773
....
....
521
3,023
....
3,023
....
....
....

25,605
13,004
....
....
12,602
4,759
....
4,759
....
....
....
....
123,161
107,606
106,988
39,906
67,082
618
11,196
10,535
....
....
660
4,359
....
4,359
....
....
....

....
....
....
....
....
....
....
....
....
....
....

2,124
943
....
943
....
....
3,067
181
2,886
....
....

2,234
960
....
960
....
....
3,194
196
2,998
....
....

2,576
938
....
938
....
....
3,513
224
3,289
....
....

3,320
611
....
611
....
....
3,931
290
3,641
....
....

3,177
469
....
469
....
....
3,646
232
3,414
....
....

3,443
573
....
573
....
....
4,016
268
3,748
....
....

3,876
918
....
918
....
....
4,794
243
4,550
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

634
....
....
1,001
....
....
....
1,001
1,636
....
....
....
1,636

373
....
....
1,415
....
....
....
1,415
1,788
....
....
....
1,788

1,324
....
....
3,479
....
....
....
3,479
2,155
....
....
....
2,155

2,105
....
....
4,522
....
....
....
4,522
2,417
....
....
....
2,417

4,671
....
....
6,816
....
....
....
6,816
2,144
252
....
....
1,893

5,265
....
....
7,830
....
....
....
7,830
2,566
398
....
....
2,168

7,411
....
....
10,088
....
....
....
10,088
2,677
124
....
....
2,553

FINANCIAL ACCOUNT........................................ 30999S N AA

....

22,825

26,637

34,559

31,808

24,714

24,902

25,333

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

6,417
32,343
28,182
8,207
8,207
....
....
19,975
4,162
3,247
915
....

75
44,464
32,163
5,917
5,917
....
....
26,246
12,301
12,905
604
....

6,754
64,999
47,984
11,100
11,100
....
....
36,884
17,015
14,383
2,632
....

9,065
58,591
51,284
4,743
4,743
....
....
46,541
7,307
804
6,503
....

11,599
65,126
65,932
16,801
16,801
....
....
49,131
805
1,679
2,484
....

24,348
100,519
84,900
22,304
22,304
....
....
62,597
15,619
18,226
2,607
....

1,539
88,625
79,165
10,401
10,401
....
....
68,764
9,460
9,813
352
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
198
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Hong Kong

532
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

38,760
29,173
3,665
3,665
....
....
25,508
9,587
5,359
4,228
....

44,539
37,736
1,999
1,999
....
....
35,736
6,804
6,714
89
....

58,245
56,647
4,782
4,782
....
....
51,865
1,598
350
1,248
....

67,656
56,887
9,644
9,644
....
....
47,243
10,770
9,231
1,539
....

53,527
52,052
5,102
5,102
....
....
46,951
1,475
2,141
3,616
....

76,171
54,795
7,770
7,770
....
....
62,565
21,376
13,664
7,712
....

90,164
85,892
18,811
18,811
....
....
67,082
4,272
3,071
7,343
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

31,467
40,723
27,954
....
1,548
....
26,406
....
12,768
....
8,020
....
4,749
....
9,256
9,961
....
718
....
10,678
....
705
....
1,023
....
1,728
....

26,712
41,751
15,601
....
96
....
15,505
....
26,149
....
25,854
....
296
....
15,038
14,480
....
1,076
....
13,404
....
558
....
377
....
935
....

2,733
77,899
69,337
....
233
....
69,104
....
8,562
....
4,887
....
3,674
....
75,166
43,625
....
2,130
....
41,495
....
31,540
....
22,587
....
8,954
....

38,151
25,353
18,290
....
1,547
....
19,837
....
7,062
....
13,641
....
6,578
....
12,799
17,423
....
1,413
....
18,836
....
30,222
....
21,517
....
8,705
....

42,889
52,086
25,695
....
49
....
25,744
....
26,391
....
3,973
....
22,418
....
9,197
9,492
....
422
....
9,915
....
295
....
276
....
19
....

60,177
82,390
46,876
....
428
....
46,448
....
35,514
....
23,173
....
12,342
....
22,213
18,534
....
506
....
19,040
....
3,679
....
921
....
2,758
....

3,556
18,412
36,051
....
84
....
36,136
....
17,640
....
413
....
18,053
....
14,856
9,870
....
1,053
....
10,924
....
4,986
....
2,854
....
2,132
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

3,920
20,797
16,877

3,338
19,437
16,099

5,574
29,818
24,244

8,126
68,601
60,474

3,169
48,542
45,373

2,403
35,904
33,501

2,947
42,848
39,901

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

318
18,750
....
18,750
....
4,062
....
14,688
....
18,432
....
....
18,432
....
5,623
....
12,809
....

2,678
58,465
....
58,465
....
57,693
....
772
....
61,143
....
....
61,143
....
52,411
....
8,732
....

15,942
163,084
....
163,084
....
124,293
....
38,790
....
147,141
....
....
147,141
....
132,503
....
14,638
....

23,099
46,105
....
46,105
....
27,388
....
18,717
....
23,006
....
....
23,006
....
382
....
23,388
....

97,466
97,012
....
97,012
....
76,528
....
20,484
....
454
....
....
454
....
6,606
....
6,152
....

66,374
60,127
....
60,127
....
58,726
....
1,402
....
126,501
....
....
126,501
....
120,376
....
6,124
....

11,923
87,332
....
87,332
....
89,120
....
1,788
....
75,409
....
....
75,409
....
72,318
....
3,091
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,378
....
....
....
....

6,016
....
....
....
....

14,704
....
....
....
....

33,948
....
....
....
....

70,860
....
....
....
....

9,153
....
....
....
....

14,340
....
....
37
....

NET ERRORS AND OMISSIONS.........................

....

3,279

4,082

7,688

209

2,080

7,247

5,018

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
199
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Hong Kong

532

Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 1,535,838 1,965,274 2,757,773 2,309,369 2,602,645 2,917,465 3,040,174
Direct investment............................................. 8A9999 A AA
. . . . 512,374 713,209 1,052,319 810,745 880,284 988,045 1,094,920
Equity and investment fund shares................. 8AA000 A AA
. . . . 375,757 561,287 890,221 635,750 706,561 803,802 879,009
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

375,757
....
....
136,617
121,924
14,693
....
436,598
227,849
....
2,882
....
224,966
....
208,750
....
134,779
....
73,970
....
17,193
445,377
....
445,377
....
350,754
....
94,623
....
124,296
....
....
....
....

561,287
....
....
151,922
139,423
12,499
....
580,552
338,899
....
3,196
....
335,703
....
241,652
....
163,969
....
77,683
....
22,536
515,720
....
515,720
....
414,362
....
101,358
....
133,258
....
....
....
....

890,221
....
....
162,097
146,053
16,044
....
778,580
514,544
....
5,155
....
509,389
....
264,036
....
176,415
....
87,621
....
47,891
726,361
....
726,361
....
565,966
....
160,395
....
152,622
....
....
....
....

635,750
....
....
174,995
152,141
22,853
....
557,157
275,178
....
2,075
....
273,103
....
281,979
....
197,651
....
84,328
....
87,131
671,805
....
671,805
....
537,253
....
134,551
....
182,531
....
....
....
....

706,561
....
....
173,723
153,355
20,368
....
811,482
498,740
....
2,439
....
496,301
....
312,742
....
203,696
....
109,047
....
48,897
606,214
....
606,214
....
494,336
....
111,878
....
255,768
....
....
....
....

803,802
....
....
184,243
168,953
15,290
....
929,451
581,742
....
3,152
....
578,590
....
347,709
....
228,067
....
119,643
....
58,769
672,499
....
672,499
....
555,865
....
116,634
....
268,702
94
....
....
268,608

879,009
....
....
215,911
200,725
15,186
....
817,818
470,599
....
2,500
....
468,099
....
347,219
....
235,088
....
112,131
....
72,207
769,782
....
769,782
....
646,652
....
123,130
....
285,447
105
....
36
285,306

. . . . 1,096,479 1,446,949 2,274,072 1,686,613 1,882,589 2,256,903 2,337,479


. . . . 564,274 778,472 1,218,640 864,891 984,511 1,141,888 1,187,365
. . . . 457,187 662,297 1,096,810 734,823 847,886 988,676 1,026,206
. . . . 457,187 662,297 1,096,810 734,823 847,886 988,676 1,026,206
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
. . . . 107,087 116,175 121,830 130,068 136,625 153,212 161,158
....
80,725
92,618
96,771 104,215 108,857 116,484 127,345
....
26,362
23,557
25,059
25,854
27,768
36,729
33,814
....
....
....
....
....
....
....
....
. . . . 178,438 259,664 477,604 229,908 340,813 413,978 362,134
. . . . 167,568 247,870 433,623 214,489 326,144 395,399 334,441
....
....
....
....
....
....
....
....
....
6,713
11,085
16,774
7,274
9,815
10,836
7,025
....
....
....
....
....
....
....
....
. . . . 160,856 236,785 416,848 207,215 316,329 384,563 327,416
....
....
....
....
....
....
....
....
....
10,870
11,793
43,981
15,419
14,670
18,579
27,693
....
....
....
....
....
....
....
....
....
7,568
7,220
29,766
8,605
7,861
8,824
14,350
....
....
....
....
....
....
....
....
....
3,302
4,574
14,215
6,814
6,808
9,755
13,343
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
200
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Hong Kong

532

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Hong Kong dollars per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

17,101
336,665
....
....
336,665
....
295,089
....
41,576
....

20,366
388,446
....
....
388,446
....
339,059
....
49,387
....

32,537
545,292
....
....
545,292
....
473,949
....
71,342
....

73,885
517,928
....
....
517,928
....
475,870
....
42,058
....

40,033
517,232
....
....
517,232
....
483,837
....
33,395
....

50,132
650,905
....
....
650,905
....
605,248
....
45,657
....

60,209
727,771
....
....
727,771
....
673,666
....
54,105
....

....

439,359

518,325

483,701

622,756

720,056

660,562

702,696

....

7.7525

7.7745

7.8015

7.7505

7.7555

7.7745

7.7655

_______________________________________________________________________________________________________________________________
201
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Macao

546
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis

A. Current Account..........................................

10999F B XN

....

2,942

2,438

4,306

4,036

6,788

12,083

16,967

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

2,474
4,801

2,557
5,768

2,542
7,180

2,093
7,147

1,086
5,427

1,039
6,471

1,103
8,808

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

3,043

2,673

4,874

4,853

7,607

12,823

17,505

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

83
184

108
344

101
669

91
907

104
923

97
836

74
612

B. Capital Account........................................... 20999F B AA

....

515

438

319

393

604

20

142

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

534
20

3,457

456
18

2,876

339
20

4,625

444
51

4,430

660
56

7,392

46
26

12,103

9
151

16,825

C. Financial Account......................................... 30999F N AA

....

262

814

6,979

3,345

2,817

1,258

1,235

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

65
32
34

659
66
725

294
65
229

845
32
876

593
110
704

238
74
312

64
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,772
826
945

2,789
1,837
952

5,307
1,220
4,087

3,983
2,117
1,866

407
936
1,343

3,561
2,499
1,062

2,116
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

617
356
261

1,435
213
1,221

1,251
1,476
225

1,391
796
595

1,674
1,036
638

1,007
660
347

2,093
1,456
636

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

3
3
....

1
1
....

164
1
163

213
....
213

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

522
522
....

212
212
....

48
48
....

29
29
....

15
15
....

8
8
....

44
44
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

4,428
....
4,428

5,525
....
5,525

3,249
....
3,249

2,704
....
2,704

7,564
....
7,564

9,869
....
9,869

6,701
....
6,701

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

3,599
....
3,599

3,194

4,227
....
4,227

6,418
....
6,418

4,328
....
4,328

6,251
....
6,251

5,663
....
5,663

7,807
....
7,807

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

Conversion rates: patacas per U.S. dollar......... RFZ F B

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

2,326

3,211

4,638

5,054

4,340

5,432

7,705

8,679
2,547

10,564
3,154

14,337
4,712

18,024
5,969

18,977
5,144

9,493

29,010
7,771

15,807

39,831
10,419

21,707

698
1,462

1,323
2,848

1,813
1,925

1,402
3,551

1,007
2,893

873
3,857

1,250
5,452

3,806

4,199

4,987

7,001

2,063

11,604

7,775

4,575

10,845

18,060

2,068

8,097

5,500

2,460

5,687

7,881

1,126

2,058

3,507

2,274

2,115

5,158

10,179

....
....
....

1,126
....
....

2,058
....
....

3,507
....
....

2,274
....
....

2,115
....
....

5,158
....
....

10,179
....
....

....

8.0111

8.0014

8.0359

8.0201

7.9843

8.0022

8.0182

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
202
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Macao

546
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

Data reported to the IMF on a BPM6 basis


CURRENT ACCOUNT.......................................... 109999 B XN
....
2,942
2,438
GOODS AND SERVICES..................................... 1Z9999 B XN
....
3,806
4,199
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2007

2008

2009

2010

2011

4,036
7,001
20,117
13,116
5,054
2,093
2,093
....
....
7,147
7,145
2
12,055
18,024
5,969
108
262
5
69
446

6,788
9,493
20,063
10,570
4,340
1,086
1,086
....
....
5,427
5,423
4
13,834
18,977
5,144
30
161
12
80
351

12,083
15,807
30,049
14,242
5,432
1,039
1,039
....
....
6,471
6,463
8
21,239
29,010
7,771
7
59
14
91
500

281

237

300

83
160
57

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

11,154
7,347
2,326
2,474
2,474
....
....
4,801
4,799
2
6,133
8,679
2,547
109
178
4
44
399

13,121
8,922
3,211
2,557
2,557
....
....
5,768
5,768
....
7,409
10,564
3,154
111
155
2
46
457

4,306
4,987
16,879
11,893
4,638
2,542
2,542
....
....
7,180
7,179
1
9,624
14,337
4,712
109
228
2
55
473

216

254

307

7,933
1,264
6,669
552
7
545
235
....
15
140
....
56
24
....
....
1,556
....
93
131
5
66
1,222
....
39

9,749
1,261
8,488
575
12
562
244
....
19
149
....
57
20
....
....
2,124
....
102
149
6
76
1,743
....
47

13,405
1,468
11,937
695
17
678
348
....
23
216
....
89
20
....
....
3,428
....
129
201
45
103
2,891
....
58

16,948
1,856
15,092
828
19
809
516
....
20
324
....
98
75
....
....
4,529
....
101
245
102
107
3,897
....
77

18,142
1,804
16,338
915
14
901
442
....
18
226
....
73
125
....
....
3,750
....
78
153
122
101
3,203
....
94

27,805
1,384
26,420
1,154
17
1,138
684
....
31
401
....
93
159
....
....
6,166
....
93
228
183
89
5,277
....
296

16,967
21,707
40,934
19,227
7,705
1,103
1,103
....
....
8,808
8,792
16
29,412
39,831
10,419
7
64
14
98
556
....
....
....
334
....
....
....
38,500
1,923
36,577
1,373
21
1,352
754
....
37
456
....
97
165
....
....
8,551
....
102
271
....
68
7,880
....
231

....
....
....
....
....
....
....
....
....
....
....

764
698
1,462
....
52
698
35
34
4
31
1

1,525
1,323
2,848
....
151
1,323
56
56
16
40
1

112
1,813
1,925
....
168
1,813
71
70
9
61
1

2,148
1,402
3,551
....
196
1,402
28
29
2
31
1

1,886
1,007
2,893
....
121
1,007
62
62
16
46
....

2,985
873
3,857
....
94
873
92
92
22
70
....

4,202
1,250
5,452
....
83
1,250
135
....
....
....
....

257
107
34
63
112
42

306
116
35
73
134
47

328
113
33
82
177
48

349
67
30
74
154
53

303
27
22
68
117
52

412
65
23

_______________________________________________________________________________________________________________________________
203
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Macao

546
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

229
51
....
....
178
263
....
263
....
171
....
171
1,410
1,408
1,402
707
695
6
8
5
....
....
3
6
....
6
....
....
....

271
59
....
....
213
662
....
662
....
334
....
334
2,697
2,469
2,464
800
1,664
4
12
8
....
....
4
217
....
217
....
....
....

357
62
....
....
294
872
....
872
....
513
....
513
1,757
1,378
1,373
565
808
5
42
17
....
....
25
337
....
337
....
....
....

331
106
....
....
225
638
....
638
....
462
....
462
3,355
2,710
2,702
1,264
1,438
8
90
53
....
....
37
555
....
555
....
....
....

274
94
....
....
179
419
....
419
....
252
....
252
2,771
2,459
2,443
1,549
894
17
47
35
....
....
13
265
....
265
....
....
....

309
129
....
....
180
287
....
287
....
185
....
185
3,764
3,540
3,538
1,209
2,329
2
30
20
....
....
10
194
....
194
....
....
....

364
161
....
....
203
548
....
548
....
204
....
204
5,370
4,995
....
....
....
....
120
100
....
....
21
254
....
254
....
....
....

....
....
....
....
....
....
....
....
....
....
....

101
83
....
83
53
30
184
11
173
156
17

236
108
....
108
55
53
344
3
340
326
14

568
101
....
101
60
40
669
4
665
655
10

816
91
....
91
63
28
907
105
803
741
62

820
104
....
104
65
39
923
354
569
545
24

739
97
....
97
69
28
836
347
489
446
43

538
74
....
74
48
26
612
38
573
538
35

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

515
....
....
534
....
....
....
534
20
....
....
....
20

438
....
....
456
....
....
....
456
17
....
....
....
17

319
....
5
339
....
....
....
339
15
....
....
....
15

393
....
20
444
....
....
....
444
31
7
....
7
23

604
....
....
660
....
....
....
660
55
29
....
29
26

20
....
....
46
....
....
....
46
26
....
....
....
26

142
....
....
9
....
....
....
9
151
94
....
94
57

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1,388

2,872

3,472

1,071

4,932

6,416

8,944

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

1,706
65
32
1
1
....
....
31
34
36
3
....

2,131
659
66
106
106
....
....
40
725
578
147
....

5,013
294
65
4
4
....
....
61
229
5
224
....

3,138
845
32
1
1
....
....
31
876
23
899
....

186
593
110
64
64
....
....
46
704
106
598
....

3,799
238
74
3
3
....
....
70
312
385
73
....

2,052
64
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
204
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

China, P.R.: Macao

546
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,772
826
132
132
....
....
695
945
937
8
....

2,789
1,837
173
173
....
....
1,664
952
953
1
....

5,307
1,220
412
412
....
....
808
4,087
4,040
47
....

3,983
2,117
679
679
....
....
1,438
1,866
1,846
20
....

407
936
43
43
....
....
894
1,343
1,358
15
....

3,561
2,499
169
169
....
....
2,329
1,062
1,061
1
....

2,116
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

617
617
356
....
17
2
376
....
261
....
91
108
62
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,435
1,435
213
....
20
....
234
....
1,221
....
652
137
432
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,251
1,251
1,476
....
11
59
1,429
....
225
....
606
118
264
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,388
1,391
796
....
8
89
698
....
595
....
718
60
1,253
....
3
3
....
....
....
3
....
....
....
....
....
....
....

1,675
1,674
1,036
....
5
14
1,027
....
638
....
448
50
140
....
1
1
....
1
....
....
....
....
....
....
....
....
....

843
1,007
660
....
....
9
651
....
347
....
358
137
841
....
164
1
....
....
....
1
....
163
....
163
....
....
....

1,879
2,093
1,456
....
12
....
1,444
....
636
....
520
148
265
....
213
....
....
....
....
....
....
213
....
213
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

522
522
....

212
212
....

48
48
....

29
29
....

15
15
....

8
8
....

44
44
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

829
4,428
....
4,428
....
4,158
173
97
....
3,599
....
....
3,599
....
3,441
....
159
....

1,298
5,525
....
5,525
....
4,781
26
718
....
4,227
....
....
4,227
....
2,670
....
1,557
....

3,170
3,249
....
3,249
....
3,187
38
99
....
6,418
....
....
6,418
....
3,825
....
2,593
....

1,625
2,704
....
2,704
....
2,731
69
42
....
4,328
....
....
4,328
....
2,731
....
1,597
....

1,313
7,564
....
7,564
....
7,713
39
110
....
6,251
....
....
6,251
....
4,968
....
1,283
....

4,206
9,869
....
9,869
....
10,116
121
125
....
5,663
....
....
5,663
....
7,680
....
2,017
....

1,106
6,701
....
6,701
....
....
....
....
....
7,807
....
....
7,807
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,126
....
....
....
1,126

2,058
....
....
....
2,058

3,507
....
....
....
3,507

2,274
....
....
....
2,274

2,115
....
....
....
2,115

5,158
....
....
....
5,158

10,179
....
....
....
10,179

NET ERRORS AND OMISSIONS.........................

....

2,068

8,097

5,500

2,460

5,687

7,881

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
205
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Colombia

233
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
1,886
2,989
5,977
6,743
4,960
8,758

10,032

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

21,675
20,095

25,119
24,811

30,492
31,129

38,439
37,511

33,900
31,435

40,700
38,558

57,567
52,112

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

2,544
4,630

507

3,178
5,283

1,797

3,498
6,064

3,203

3,985
7,014

2,101

4,048
6,788

275

4,319
7,844

1,384

4,778
9,371

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,070
6,531

5,968

1,519
7,454

7,732

1,855
9,857

11,205

1,925
12,078

12,255

1,479
10,777

9,573

1,444
13,293

13,232

2,285
18,116

14,969

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

4,342
260

5,037
294

5,642
413

5,898
386

5,253
640

5,343
868

5,673
736

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

1,886

....
....

2,989

....
....

5,977

....
....

6,743

....
....

4,960

....
....

8,758

....
....

10,032

C. Financial Account......................................... 30999F N AA

....

3,232

2,892

10,321

9,424

6,354

11,807

13,486

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

4,662
4,662
....

1,098
1,098
....

1,351
913
438

1,816
2,254
438

3,088
3,088
....

6,562
6,562
....

7,843
7,843
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

10,252
10,267
15

6,656
6,687
31

9,487
9,445
42

10,158
10,135
23

7,137
7,095
42

6,746
6,771
25

13,388
13,121
268

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,689
....
1,689

3,333
....
3,333

993
....
993

67
....
67

2,756
....
2,756

2,290
....
2,290

1,531
....
1,531

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

53
86
138

902
30
932

1,884
790
1,094

1,195
86
1,109

4,668
67
4,601

3,263
1,351
1,912

8,202
1,969
6,233

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

62
....
62

9
....
9

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

183
....
183

732
....
732

2,237
....
2,237

52
....
52

1,660
....
1,660

907
....
907

4,353
....
4,353

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

371
....
371

505
....
505

3,532
....
3,532

2,262
....
2,262

2,052
....
2,052

9,743
....
9,743

5,623
....
5,623

D. Net Errors and Omissions............................. 40999S N AA

....

378

120

344

109

47

68

282

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,724

23

4,688

2,571

1,441

3,117

3,737

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,724
....
....

23
....
....

4,688
....
....

2,571
....
....

1,441
....
....

3,117
....
....

3,737
....
....

Conversion rates: Colombian pesos per U.S.


dollar............................................................. RFZ F B

. . . . 2,320.83 2,361.14 2,078.29 1,967.71 2,158.26 1,898.57 1,848.14

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

1,579

1,346

308

97

637

4,344

928

2,681

2,465

1,394

2,141

3,050

5,455

862

3,454

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
206
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Colombia

233
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
1,886
2,989
5,977
6,743
4,960
8,758
GOODS AND SERVICES..................................... 1Z9999 B XN
....
507
1,797
3,203
2,101
275
1,384
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

24,219
24,726
1,579
21,675
21,194
37
517
20,095
20,095
....
2,086
2,544
4,630
....
9
9
39
787

28,297
30,094
308
25,119
24,885
47
281
24,811
24,811
....
2,105
3,178
5,283
....
12
3
48
906

33,990
37,193
637
30,492
30,225
65
332
31,129
31,129
....
2,567
3,498
6,064
....
15
5
44
1,111

42,424
44,526
928
38,439
37,600
53
891
37,511
37,511
....
3,029
3,985
7,014
....
38
5
52
1,245

37,948
38,223
2,465
33,900
32,463
101
1,537
31,435
31,435
....
2,740
4,048
6,788
....
22
2
45
1,142

45,018
46,402
2,141
40,700
38,632
116
2,184
38,558
38,558
....
3,525
4,319
7,844
....
40
11
69
1,214

10,032
862
62,345
61,483
5,455
57,567
54,899
100
2,769
52,112
52,112
....
4,594
4,778
9,371
....
18
53
118
1,566

2,125

2,270

2,629

3,015

2,333

2,827

3,101

1,222
....
1,222
1,130
....
1,130
527
....
....
31
10
231
140
41
74
1,345
....
290
145
118
252
431
44
66

1,554
....
1,554
1,332
....
1,332
715
....
....
59
11
280
242
46
76
1,645
....
317
162
127
325
588
58
68

1,669
....
1,669
1,537
....
1,537
713
....
....
68
17
279
233
38
77
1,869
....
375
125
188
268
786
54
73

1,844
....
1,844
1,739
....
1,739
892
....
....
70
30
296
372
45
80
2,247
7
436
144
263
314
962
41
79

1,999
....
1,999
1,752
....
1,752
905
....
....
48
39
311
390
30
87
2,682
3
440
118
299
384
1,339
35
64

2,083
....
2,083
1,826
....
1,826
1,011
....
....
45
56
271
465
84
90
3,162
1
576
124
362
357
1,543
111
87

2,201
....
2,201
2,243
....
2,243
957
....
....
55
59
298
366
86
93
3,927
1
715
153
425
435
2,026
82
90

....
....
....
....
....
....
....
....
....
....
....

5,461
1,070
6,531
32
19
1,038
166
166
166
....
....

5,935
1,519
7,454
38
19
1,480
359
359
359
....
....

8,002
1,855
9,857
30
29
1,824
401
401
401
....
....

10,153
1,925
12,078
42
29
1,883
665
665
665
....
....

9,298
1,479
10,777
35
33
1,445
877
877
877
....
....

11,849
1,444
13,293
34
40
1,410
963
963
963
....
....

15,831
2,285
18,116
37
39
2,248
1,714
1,714
1,714
....
....

352
200
234

435
1,366
324

455
215
236

467
1,399
404

593
269
250

556
1,686
387

655
316
274

598
2,094
323

672
252
218

549
1,466
317

714
259
241

547
1,924
356

882
235
450

599
2,201
301

_______________________________________________________________________________________________________________________________
207
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Colombia

233
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

780
224
....
....
556
91
....
91
....
....
....
....
6,512
3,565
3,565
2,568
996
....
1,630
20
....
....
1,610
1,317
....
1,317
....
....
....

708
....
....
....
708
413
....
413
....
....
....
....
7,435
4,591
4,591
3,096
1,495
....
1,381
24
....
....
1,356
1,464
....
1,464
....
....
....

905
....
....
....
905
518
....
518
....
....
....
....
9,827
6,598
6,598
4,616
1,983
....
1,523
69
....
....
1,454
1,706
....
1,706
....
....
....

847
....
....
....
847
371
....
371
....
....
....
....
12,049
8,706
8,706
6,374
2,332
....
1,610
58
....
....
1,552
1,733
....
1,733
....
....
....

415
....
....
....
415
153
....
153
....
....
....
....
10,745
7,628
7,628
5,484
2,143
....
1,472
38
....
....
1,434
1,645
....
1,645
....
....
....

202
....
....
....
202
245
....
245
....
....
....
....
13,253
9,789
9,789
6,821
2,968
....
1,873
88
....
....
1,785
1,591
....
1,591
....
....
....

252
....
....
....
252
282
....
282
....
....
....
....
18,077
14,123
14,123
10,125
3,998
....
2,272
191
....
....
2,081
1,683
....
1,683
....
....
....

....
....
....
....
....
....
....
....
....
....
....

4,082
4,342
501
3,841
3,314
527
260
34
227
37
189

4,743
5,037
531
4,505
3,890
616
294
27
266
47
220

5,228
5,642
267
5,374
4,493
882
413
19
394
66
328

5,512
5,898
192
5,706
4,842
864
386
24
362
59
303

4,613
5,253
220
5,033
4,145
888
640
62
577
60
518

4,475
5,343
171
5,171
4,023
1,148
868
97
771
72
699

4,938
5,673
251
5,423
4,168
1,255
736
39
696
78
618

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1,508

2,869

5,633

6,852

4,913

8,690

9,749

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

5,590
4,662
4,662
4,662
4,662
....
....
....
....
....
....
....

5,558
1,098
1,098
1,098
1,098
....
....
....
....
....
....
....

8,136
1,351
913
913
913
....
....
....
438
....
438
....

8,342
1,816
2,254
2,254
2,254
....
....
....
438
....
438
....

4,049
3,088
3,088
3,088
3,088
....
....
....
....
....
....
....

184
6,562
6,562
6,562
6,562
....
....
....
....
....
....
....

5,546
7,843
7,843
7,843
7,843
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
208
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Colombia

233
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

10,252
10,267
9,270
9,270
....
....
996
15
15
....
....

6,656
6,687
5,193
5,193
....
....
1,495
31
31
....
....

9,487
9,445
7,462
7,462
....
....
1,983
42
42
....
....

10,158
10,135
7,803
7,803
....
....
2,332
23
23
....
....

7,137
7,095
4,951
4,951
....
....
2,143
42
42
....
....

6,746
6,771
3,802
3,802
....
....
2,968
25
25
....
....

13,388
13,121
9,123
9,123
....
....
3,998
268
268
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,742
1,689
....
....
....
....
....
....
1,689
....
938
264
487
....
53
86
....
....
....
86
....
138
....
....
61
77
....

2,431
3,333
....
....
....
....
....
....
3,333
....
782
593
1,958
....
902
30
....
....
....
30
....
932
....
250
1,817
635
....

891
993
....
....
....
....
....
....
993
....
53
1,505
2,551
....
1,884
790
....
....
....
790
....
1,094
....
565
300
228
....

1,128
67
....
....
....
....
....
....
67
....
277
116
461
....
1,195
86
....
....
....
86
....
1,109
....
....
1,090
19
....

1,912
2,756
....
....
....
....
....
....
2,756
....
14
1,834
935
....
4,668
67
....
....
....
67
....
4,601
....
....
2,659
1,942
....

973
2,290
....
....
....
....
....
....
2,290
....
1,823
1,060
1,528
....
3,263
1,351
....
....
....
1,351
....
1,912
....
620
1,328
36
....

6,670
1,531
....
....
....
....
....
....
1,531
....
543
170
819
....
8,202
1,969
....
....
....
1,969
....
6,233
....
2,120
2,440
1,673
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

62
....
62

9
....
9

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

555
183
....
183
4
474
48
343
....
371
....
....
371
5
690
1,063
3
....

227
732
....
732
10
223
47
917
....
505
....
....
505
5
542
852
200
....

1,294
2,237
....
2,237
9
971
20
1,237
....
3,532
....
....
3,532
50
1,154
130
2,197
....

2,209
52
....
52
67
880
1
865
....
2,262
....
....
2,262
37
164
1,263
872
....

393
1,660
....
1,660
110
218
8
1,543
....
2,052
....
975
1,078
8
1,231
1,491
826
....

10,651
907
....
907
4
191
8
729
....
9,743
....
....
9,743
3
3,449
1,219
5,073
....

1,270
4,353
....
4,353
7
1,012
41
3,293
....
5,623
....
....
5,623
9
1,254
464
3,915
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,724
19
6
....
1,698

23
3
11
....
14

4,688
20
16
....
4,651

2,571
31
15
....
2,526

1,441
12
949
43
523

3,117
....
6
137
3,260

3,737
....
14
113
3,638

NET ERRORS AND OMISSIONS.........................

....

378

120

344

109

47

68

282

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
209
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Colombia

233
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 41,294.0 46,997.5 57,083.9 61,898.5 70,842.7 81,839.0 99,410.8
Direct investment............................................. 8A9999 A AA
....
8,914.7 10,013.0 11,363.8 13,179.8 16,267.9 22,829.6 30,672.2
Equity and investment fund shares................. 8AA000 A AA
....
8,914.7 10,013.0 10,925.8 13,179.8 16,267.9 22,829.6 30,672.2
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
8,914.7 10,013.0 10,925.8 13,179.8 16,267.9 22,829.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
438.0
....
....
....
....
....
....
....
....
....
....
....
....
....
438.0
....
....
....
....
....
....
....
....
....
....
. . . . 11,890.6 15,223.4 16,216.6 16,044.9 18,801.1 21,091.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
. . . . 11,890.6 15,223.4 16,216.6 16,044.9 18,801.1 21,091.1
....
....
....
....
....
....
....
....
1,663.2
2,444.8
2,392.0
2,668.9
2,655.1
4,477.6
....
1,377.0
1,970.2
465.0
581.2
2,415.7
1,355.2
....
8,850.4 10,808.3 13,359.7 12,794.8 13,730.3 15,258.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
5,936.3 6,725.1 8,977.6 8,759.5 10,430.9 9,470.3
....
....
....
....
....
....
....
....
5,936.3 6,725.1 8,977.6 8,759.5 10,430.9 9,470.3
....
939.2
954.1
994.1
686.6
588.9
539.9
....
811.7
589.2
1,560.4
678.9
897.1
706.0
....
399.1
446.4
466.6
467.8
476.2
484.5
....
3,786.3
4,735.4
5,956.5
6,926.2
8,468.7
7,739.8
....
....
....
....
....
....
....
. . . . 14,552.3 15,036.0 20,525.8 23,914.3 25,342.8 28,448.0
....
167.6
141.0
184.8
191.2
243.4
311.0
....
172.5
193.3
219.6
228.6
1,184.2
1,157.2
....
408.5
430.0
451.6
440.2
405.5
259.8
. . . . 13,803.7 14,271.8 19,669.7 23,054.4 23,509.7 26,720.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

77,068.7
36,903.1
36,846.0
36,846.0
....
....
57.1
57.1
....
....
14,631.5
898.6
....
....
....
898.6
....
13,733.0
....
250.0
12,510.2
972.8
....

87,280.3
45,227.6
45,201.9
45,201.9
....
....
25.7
25.7
....
....
15,880.3
873.8
....
....
....
873.8
....
15,006.5
....
....
14,669.0
337.6
....

105,154.6
56,886.4
56,818.8
56,818.8
....
....
67.6
67.6
....
....
18,405.7
1,900.9
....
....
....
1,900.9
....
16,504.8
....
565.0
15,383.2
556.6
....

115,365.4
67,286.5
67,195.9
67,195.9
....
....
90.6
90.6
....
....
15,946.2
1,352.4
....
....
....
1,352.4
....
14,593.8
....
565.0
13,520.2
508.6
....

130,340.3
75,087.2
74,954.2
74,954.2
....
....
133.0
133.0
....
....
21,047.7
1,573.2
....
....
....
1,573.2
....
19,474.5
....
565.0
16,446.6
2,462.9
....

151,137.7
82,409.8
82,301.7
82,301.7
....
....
108.1
108.1
....
....
24,679.4
3,003.3
....
....
....
3,003.3
....
21,676.1
....
1,185.0
18,045.2
2,445.9
....

30,672.2
....
....
....
....
....
....
22,622.4
....
....
....
....
....
....
22,622.4
....
5,020.2
1,525.1
16,077.0
....
....
13,830.7
....
13,830.7
554.3
1,717.7
526.0
11,032.7
....
32,285.5
524.1
1,140.5
369.6
30,251.4
178,154.1
95,586.7
95,211.0
95,211.0
....
....
375.7
375.7
....
....
32,905.1
4,981.2
....
....
....
4,981.2
....
27,923.9
....
3,305.0
20,530.5
4,088.4
....

_______________________________________________________________________________________________________________________________
210
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Colombia

233
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Colombian pesos per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
. . . . 25,534.1 26,172.4 29,862.5 32,132.7 34,205.4 44,048.5 49,662.3
....
....
....
....
....
....
....
....
....
163.3
171.9
180.6
176.0 1,157.5 1,137.0 1,133.5
. . . . 25,370.8 26,000.5 29,681.9 31,956.6 33,047.9 42,911.5 48,528.8
....
66.0
52.5
92.4
56.9
54.2
64.9
60.7
....
2,630.1
2,093.3
3,255.8
3,419.8
2,199.6
5,716.8
6,971.8
....
8,806.2
9,727.1
9,940.0 11,225.6 12,678.8 13,903.4 14,358.5
. . . . 13,868.4 14,127.6 16,393.7 17,254.4 18,115.3 23,226.4 27,137.8
....
....
....
....
....
....
....
....
. . . . 35,774.7 40,282.8 48,070.8 53,466.9 59,497.6 69,298.7 78,743.3
. . . . 2,284.22 2,225.44 1,987.81 2,198.09 2,044.23 1,989.88 1,942.70

_______________________________________________________________________________________________________________________________
211
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Congo, Democratic Republic of

636

Table 1. ANALYTIC PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
388.6
47.8
527.0
151.0 1,123.1 2,173.5 1,280.6
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

2,402.8
2,690.4

2,704.7
2,891.6

6,147.9
5,257.2

6,869.8
6,725.8

4,371.0
4,949.0

8,477.9
8,042.5

9,471.9
8,915.6

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

343.2
1,169.2

1,113.6

432.9
905.8

659.8

392.4
1,617.6

334.5

828.2
2,099.6

1,127.4

649.9
1,817.1

1,745.2

388.6
2,662.7

1,838.7

739.4
2,889.3

1,593.6

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

9.5
32.3

1,136.4

17.7
31.5

673.6

26.0
26.4

334.9

17.8
37.4

1,147.0

26.0
805.0

2,524.2

48.3
1,225.8

3,016.2

168.2
1,266.1

2,691.5

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

943.6
195.8

1,203.1
481.7

1,484.4
622.5

1,738.4
742.4

1,704.3
303.2

1,688.0
845.3

2,430.4
1,019.5

B. Capital Account........................................... 20999F B AA

....

91.3

81.7

1.6

110.1

144.0

160.7

932.7

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

59.1
150.4

479.9

151.5
69.8

129.5

54.7
56.3

525.4

170.6
60.5

403.9
259.9

333.6
494.3

1,240.5
307.8

C. Financial Account......................................... 30999F N AA

....

333.7

299.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

166.6
180.0
13.4

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

287.6

186.9

890.7

144.0

578.0

435.4

556.3

40.9

979.1

2,334.2

481.5

.8

72.7

9,464.0

272.7

....
....
....

....
....
....

....
....
....

6.3
....
6.3

....
....
....

237.7
256.1
18.4

1,793.7
1,808.0
14.3

1,672.7
1,726.8
54.1

278.0
243.2
34.8

2,728.8
2,736.0
7.2

1,596.0
1,686.9
90.9

13.4
....
....

413.2
....
....

1,833.6
....
....

1,574.9
....
....

1,189.4
....
....

3,237.4
....
....

2,136.9
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

40.6
....
40.6

88.2
....
88.2

101.4
....
101.4

113.4
....
113.4

401.3
....
401.3

216.4
....
216.4

1,803.4
....
1,803.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

221.1
....
221.1

146.2

212.5
....
212.5

170.2

542.9
....
542.9

212.0
....
212.0

1,138.8
....
1,138.8

9,178.1
....
9,178.1

989.9
....
989.9

D. Net Errors and Omissions............................. 40999S N AA

....

103.4

169.0

25.1

180.1

1,383.7

1,151.6

82.3

E. Reserves and Related Items.......................... 4Z999S N AA

....

42.8

1.2

69.1

138.5

477.2 10,646.5

157.6

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

3.8
39.0
....

1.2
....
....

3.0
66.1
....

2.9
135.6
....

604.0
126.8
....

430.2
454.4
10,670.8

1.1
156.5
....

Conversion rates: Congo francs per U.S.


dollar............................................................. RFZ F B

....

473.91

468.28

516.75

559.29

809.79

905.91

919.49

44.0

41.7

906.5 11,798.2

347.9

75.2

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
212
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Congo, Democratic Republic of

636

Table 2. STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
388.6
47.8
527.0
151.0 1,123.1 2,173.5 1,280.6
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,113.6
659.8
334.5 1,127.4 1,745.2 1,838.7 1,593.6
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,746.0
3,859.6
287.6
2,402.8
2,402.8
....
....
2,690.4
2,690.4
....
826.0
343.2
1,169.2
....
....
....
....
11.5
....

....
....
....
....
....
....
....
....
....
....
....

11.5

3,137.6
6,540.3
7,698.0
5,020.9
8,866.5 10,211.3
3,797.4
6,874.8
8,825.4
6,766.1 10,705.2 11,804.9
186.9
890.7
144.0
578.0
435.4
556.3
2,704.7 6,147.9 6,869.8 4,371.0 8,477.9 9,471.9
2,704.7
6,147.9
6,869.8
4,371.0
8,477.9
9,471.9
....
....
....
....
....
....
....
....
....
....
....
....
2,891.6 5,257.2 6,725.8 4,949.0 8,042.5 8,915.6
2,891.6
5,257.2
6,725.8
4,949.0
8,042.5
8,915.6
....
....
....
....
....
....
472.9 1,225.2 1,271.4 1,167.2 2,274.1 2,149.9
432.9
392.4
828.2
649.9
388.6
739.4
905.8
1,617.6
2,099.6
1,817.1
2,662.7
2,889.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2.7
21.8
37.0
52.4
88.7
114.5
....
....
....
....
....
....

2.7

21.8

37.0

52.4

88.7

114.5

....
824.6
....

....
357.0
....

....
734.5
....

....
995.2
....

....
800.0
....

....
1,513.1
....

....
1,412.6
....

....
3.2
3.2
....
53.5
53.5
....
328.5
....
....
19.1
35.2
28.5
32.9
.5
212.3
291.1
23.4
23.4
89.6
2.1
1.2
2.1
2.4
146.9

....
3.1
3.1
....
92.7
92.7
....
427.1
....
....
38.5
49.6
57.5
66.4
1.0
214.1
456.1
21.2
93.4
27.2
1.9
1.0
166.8
2.2
142.4

....
.7
.7
....
108.7
108.7
....
369.9
....
....
41.7
53.8
62.3
71.9
1.1
139.1
774.4
20.8
213.7
28.4
1.9
1.0
331.7
2.1
174.8

....
.7
.7
....
126.7
126.7
....
790.5
....
....
67.9
125.0
101.4
117.0
1.8
377.4
977.7
28.1
249.6
46.7
2.6
1.4
402.7
2.9
243.7

....
24.0
24.0
....
121.2
121.2
....
573.5
27.2
20.0
69.7
108.5
92.5
103.1
24.8
127.7
895.9
51.2
197.1
72.0
34.3
33.5
348.5
34.5
124.8

....
10.7
10.7
....
149.6
149.6
....
289.2
....
....
45.1
....
67.4
77.7
1.2
97.8
1,000.0
14.1
326.1
33.3
....
.9
458.1
1.9
165.6

....
11.4
11.4
....
298.3
298.3
....
613.4
....
5.8
49.6
....
74.4
69.5
1.0
413.2
1,178.4
18.8
338.3
42.4
....
1.2
519.1
2.5
255.9

22.8
9.5
32.3
8.9
32.3
.6
....
....
....
....
....

13.8
17.7
31.5
12.8
31.5
4.9
....
....
....
....
....

.4
26.0
26.4
8.8
26.4
17.2
....
....
....
....
....

19.6
17.8
37.4
14.7
37.4
3.1
....
....
....
....
....

824.6

357.0

734.5

995.2

800.0

1,513.1

1,412.6

779.0 1,177.5 1,097.9


26.0
48.3
168.2
805.0
1,225.8
1,266.1
19.5
15.7
114.6
30.9
57.2
39.6
6.5
32.6
53.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
213
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Congo, Democratic Republic of

636

Table 2 (Continued). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
.6
....
.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
4.9
....
4.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
17.2
....
17.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
3.1
....
3.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
6.5
....
6.5
....
....
....
....
774.1
....
....
....
....
....
....
....
....
....
....
774.1
....
774.1
....
....
....

....
....
....
....
....
32.6
....
32.6
....
....
....
....
1,168.6
131.3
131.3
....
131.3
....
....
....
....
....
....
1,037.3
....
1,037.3
....
....
....

....
....
....
....
....
53.6
....
53.6
....
....
....
....
1,226.5
....
....
....
....
....
....
....
....
....
....
1,226.5
....
1,226.5
....
....
....

....
....
....
....
....
....
....
....
....
....
....

747.8
943.6
752.6
191.0
....
191.0
195.8
30.5
165.3
....
165.3

721.4
1,203.1
819.1
384.0
....
384.0
481.7
129.6
352.1
....
352.1

861.9
1,484.4
909.1
575.3
....
575.3
622.5
168.5
454.0
....
454.0

996.0
1,738.4
1,243.0
495.4
....
495.4
742.4
202.8
539.6
....
539.6

1,401.1
1,704.3
1,385.9
318.4
....
318.4
303.2
76.0
227.2
....
227.2

842.7
1,688.0
906.5
781.5
....
781.5
845.3
212.7
632.6
....
632.6

1,410.9
2,430.4
1,417.5
1,012.9
....
1,012.9
1,019.5
246.5
773.0
....
773.0

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

91.3
....
....
59.1
57.6
....
57.6
1.5
150.4
....
....
....
150.4

81.7
....
.1
151.5
151.4
....
151.4
.1
69.7
....
....
....
69.7

1.6
2.2
....
52.5
50.9
....
50.9
1.6
56.3
....
....
....
56.3

110.1
....
.6
170.6
117.1
....
117.1
53.5
59.9
....
....
....
59.9

144.0 10,083.8
2.9
....
.3
1.2
401.0 10,578.1
227.0 10,322.2
. . . . 10,244.5
227.0
77.7
174.0
255.9
259.6
493.1
....
....
....
....
....
....
259.6
493.1

932.7
.4
47.0
1,240.1
913.0
....
913.0
327.1
260.8
....
....
....
260.8

FINANCIAL ACCOUNT........................................ 30999S N AA

....

376.5

298.6

550.5

139.2

404.5

430.2

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

166.6
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

237.7 1,793.7 1,672.7


....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

9,061.9

278.0 2,735.1 1,596.0


....
6.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
6.3
....
....
....
....
....
6.3
....
....
....
....

_______________________________________________________________________________________________________________________________
214
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Congo, Democratic Republic of

636

Table 2 (Concluded). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

166.6
180.0
180.0
180.0
....
....
....
13.4
....
13.4
....

237.7
256.1
256.1
256.1
....
....
....
18.4
....
18.4
....

1,793.7
1,808.0
1,808.0
1,808.0
....
....
....
14.3
....
14.3
....

1,672.7
1,726.8
1,726.8
1,726.8
....
....
....
54.1
....
54.1
....

278.0
243.2
243.2
243.2
....
....
....
34.8
....
34.8
....

2,728.8
2,736.0
2,604.7
2,604.7
....
....
131.3
7.2
....
7.2
....

1,596.0
1,686.9
1,686.9
1,686.9
....
....
....
90.9
....
90.9
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

13.4
13.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

413.2
413.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,833.6
1,833.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,574.9
1,574.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,189.4
1,189.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,237.4
3,237.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,136.9
2,136.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

219.5
40.6
....
40.6
....
40.6
....
....
....
260.1
....
....
260.1
39.0
52.5
194.5
363.1
....

124.2
88.2
....
88.2
....
88.2
....
....
....
212.5
....
....
212.5
....
19.5
339.0
107.0
....

507.6
101.4
....
101.4
....
101.4
....
....
....
609.0
....
....
609.0
66.1
36.3
564.0
15.2
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

3.8
....
3.8
....
....

1.2
....
1.2
....
....

3.0
....
3.0
....
....

2.9
....
2.9
....
....

604.0
....
604.0
....
....

430.2
....
56.4
....
373.8

1.1
....
1.1
....
....

NET ERRORS AND OMISSIONS.........................

....

103.4

169.0

25.1

180.1

1,383.7

1,151.6

82.3

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

234.1 1,666.9 8,989.8


970.0
113.4
401.3
216.4 1,803.4
....
....
....
....
113.4
401.3
216.4 1,803.4
....
....
....
....
113.4
401.3
216.4 1,803.4
....
....
....
....
....
....
....
....
....
....
....
....
347.5 1,265.6 9,206.2
833.4
....
....
....
....
....
663.7
....
....
347.5
601.9 9,206.2
833.4
135.6
126.8
454.4
312.9
105.2
43.7
15.8
....
510.9
443.0 9,698.8
156.5
193.7
874.4
962.9
869.4
....
....
....
....

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
215
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Congo, Republic of

634
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
695.6
124.1 2,181.0
....
....
....

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

2005

4,745.3
1,305.5

2006

6,065.7
2,003.5

2007

2008

2009

5,808.0
2,858.1

....
....
....

....
....
....

....
....
....

....
....
....

3,439.8

4,062.2

2,949.9

220.5
1,417.1

2,243.2

266.0
2,425.9

1,902.3

319.4
3,527.7

....
....
....

....
....
....

....
....
....

....
....
....

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

17.6
1,595.5

20.1
1,772.6

149.7

23.4
1,908.1

2,143.1

....
....
....

....
....
....

....
....
....

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

87.2
56.9

37.9
63.5

43.0
81.0

....
....

....
....

....
....

....
....

B. Capital Account........................................... 20999F B AA

....

11.2

9.6

31.7

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

11.2
....

706.8

9.6
....

31.7
....

2,149.3

....
....
....

....
....
....

....
....
....

....
....
....

C. Financial Account......................................... 30999F N AA

....

226.7

425.9 2,546.8

....

....

....

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

287.4
....
287.4

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

801.0
801.0
....

1,487.7
864.4
623.3

2,638.4
1,181.2
1,457.2

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1.1
1.1
....

1.3
1.3
....

1.5
1.5
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

246.5
....
246.5

228.9
....
228.9

266.2
....
266.2

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

492.7
....
492.7

831.5
....
831.5

356.4
....
356.4

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

30.5

142.5

201.1

....

....

....

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

510.5

702.1

196.4

....

....

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

659.5
.4
149.4

975.2
7.6
265.4

88.1
....
108.3

....
....
....

....
....
....

....
....
....

....
....
....

Conversion rates: CFA francs per U.S. dollar.... RFZ F B

....

527.47

522.89

479.27

447.81

472.19

495.28

471.87

Balance on goods and services...................................... 1Z9999 B XN

665.3

480.0

133.7

559.6

258.3

397.5

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
216
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Congo, Republic of

634
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
695.6
124.1 2,181.0
....
....
....
GOODS AND SERVICES..................................... 1Z9999 B XN
....
2,243.2 1,902.3
258.3
....
....
....
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
4,965.8
6,331.7
6,127.5
....
2,722.6
4,429.4
6,385.8
....
3,439.8 4,062.2 2,949.9
....
4,745.3 6,065.7 5,808.0
....
4,745.3
6,065.7
5,808.0
....
....
....
....
....
....
....
....
....
1,305.5 2,003.5 2,858.1
....
1,305.5
2,003.5
2,858.1
....
....
....
....
. . . . 1,196.7 2,159.9 3,208.2
....
220.5
266.0
319.4
....
1,417.1
2,425.9
3,527.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
9.9
12.6
12.1
....
....
....
....
....
9.9
12.6
12.1
....
....
....
....
....
235.1
360.7
529.1
....
....
....
....
235.1
360.7
529.1
....
....
....
....
....
....
40.4
45.3
54.5
....
....
....
....
....
40.4
45.3
54.5
....
111.9
132.3
167.5
....
....
....
....
....
111.9
132.3
167.5
....
170.2
208.1
252.9
....
....
....
....
....
58.2
77.5
95.1
....
....
....
....
....
....
....
....
....
....
....
....
....
98.0
115.9
141.0
....
....
....
....
....
14.0
14.7
16.7
....
1,070.2 1,932.9 2,831.0
....
....
....
....
....
127.0
150.3
182.8
....
....
....
....
....
....
....
....
....
....
....
....
....
938.8
1,778.2
2,643.2
....
....
....
....
....
4.4
4.4
5.0

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

. . . . 1,577.9 1,752.6 1,884.8


....
17.6
20.1
23.4
....
1,595.5
1,772.6
1,908.1
....
11.4
13.2
14.8
....
58.8
73.1
93.3
....
6.3
6.9
8.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
217
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Congo, Republic of

634
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
6.3
....
6.3
....
....
....
....
1,536.8
1,296.4
1,296.4
495.4
801.0
....
....
....
....
....
....
240.4
....
240.4
....
....
....

....
....
....
....
....
6.9
....
6.9
....
....
....
....
1,699.6
1,402.6
1,402.6
538.2
864.4
....
....
....
....
....
....
297.0
....
297.0
....
....
....

....
....
....
....
....
8.6
....
8.6
....
....
....
....
1,814.9
1,651.1
1,651.1
469.9
1,181.2
....
....
....
....
....
....
163.8
....
163.8
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

30.3
87.2
63.5
23.7
....
23.7
56.9
.2
56.7
7.4
49.3

25.6
37.9
13.2
24.7
....
24.7
63.5
.2
63.3
7.6
55.7

38.0
43.0
16.1
26.9
....
26.9
81.0
1.3
79.7
9.0
70.7

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

11.2
....
....
11.2
11.2
....
....
....
....
....
....
....
....

9.6
....
....
9.6
9.6
....
....
....
....
....
....
....
....

31.7
....
....
31.7
31.7
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

276.2 2,350.4

....

....

....

....

513.6 1,487.7 2,638.4


287.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
287.4
....
....
....
....
....
287.4
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

737.2

_______________________________________________________________________________________________________________________________
218
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Congo, Republic of

634
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

801.0
801.0
....
....
....
....
801.0
....
....
....
....

1,487.7
864.4
....
....
....
....
864.4
623.3
623.3
....
....

2,638.4
1,181.2
....
....
....
....
1,181.2
1,457.2
1,457.2
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.1
1.1
1.1
....
....
....
1.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.3
1.3
1.3
....
....
....
1.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.5
1.5
1.5
....
....
....
1.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

590.2
246.5
....
246.5
....
....
....
246.5
....
343.8
....
....
343.8
149.0
110.5
519.8
137.6
....

787.4
228.9
....
228.9
....
....
....
228.9
....
558.5
....
....
558.5
273.1
130.6
562.1
138.8
....

198.4
266.2
....
266.2
....
....
....
266.2
....
464.7
....
....
464.7
108.3
49.2
494.9
187.8
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

659.5
....
4.5
....
663.9

975.2
....
2.3
....
977.5

88.1
....
....
.1
88.1

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

30.5

142.5

201.1

....

....

....

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
219
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Costa Rica

238
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
576.0 1,281.2 2,195.5
....
981.0 1,022.6 1,646.4 2,787.3
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,251.4

1,371.8

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

470.6
200.1

B. Capital Account........................................... 20999F B AA

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

965.1

C. Financial Account......................................... 30999F N AA

....

877.9 1,886.7 2,390.0 2,521.5

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

43.0
42.3
.7

98.1
113.5
15.4

262.4
256.1
6.3

5.9
1.5
4.4

7.5
1.7
5.7

24.8
16.3
8.5

57.8
25.6
32.1

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

861.0
574.6
286.4

1,469.1
1,444.4
24.7

1,896.1
1,898.3
2.2

2,078.2
2,039.6
38.6

1,346.5
1,521.0
174.5

1,465.6
1,315.9
149.7

2,176.2
1,465.4
710.7

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

680.7
6.1
674.6

509.3
3.9
513.2

170.4
42.2
128.2

537.3
11.5
548.8

321.7
2.7
319.0

218.6
2.3
216.3

258.9
.4
258.5

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

93.7
....
93.7

105.7
....
105.7

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

154.5
....
154.5

654.6
....
654.6

155.8
....
155.8

684.6
....
684.6

332.2
....
332.2

376.5
....
376.5

214.0
....
214.0

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

500.2
....
500.2

87.2

370.4
....
370.4

1,082.4
....
1,082.4

690.2
....
690.2

739.2
....
739.2

13.0

548.8
....
548.8

604.0

417.2
....
417.2

406.5

D. Net Errors and Omissions............................. 40999S N AA

....

144.5

149.5

213.0

47.6

131.6

197.3

278.6

E. Reserves and Related Items.......................... 4Z999S N AA

....

57.2

1,014.7

977.7

305.9

118.6

406.7

127.9

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

393.5
....
336.2

1,030.8
....
16.2

1,147.7
....
170.0

348.0
....
42.0

259.9
....
141.3

561.1
....
154.5

132.4
....
4.5

Conversion rates: Costa Rican colones per


U.S. dollar...................................................... RFZ F B

....

477.79

511.30

516.62

526.24

573.29

525.83

505.66

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

3,088.8
6,337.6

3,415.8
7,306.5

3,860.4
9,000.7

4,370.9
11,198.7

3,982.7
8,207.6

4,457.1
9,819.1

4,932.3
11,867.7

3,248.8

3,890.6

5,140.3

6,827.8

4,225.0

5,362.0

6,935.4

3,639.6
1,433.7

4,053.8
1,539.2

5,616.0
1,727.1

5,795.0
1,779.6

5,688.5
1,314.5

6,140.7
1,681.1

902.5

6,644.4
1,623.5

1,914.5

199.3
944.5

214.5
818.4

1,042.9

1,376.1

1,251.4

2,812.4

806.9
1,015.4

1,135.1
1,130.8

707.7
1,572.4

2,116.1

696.8
1,113.9

3,229.5

219.3
1,303.0

934.7

1,647.6

2,518.4

586.1
237.0

734.6
264.8

706.6
264.4

593.3
234.6

605.7
239.3

593.5
270.6

15.9

1.1

21.2

7.4

58.3

53.5

21.6

15.9
....

1.1
....

21.2
....

7.4
....

58.3
....

80.5
26.9

35.2
13.6

1,021.5

865.1

1,625.2

764.8

2,779.9

258.3

149.0

517.7

1,227.7

2,173.9

504.7 1,831.7 2,580.4

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
220
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Costa Rica

238
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
576.0 1,281.2 2,195.5
....
981.0 1,022.6 1,646.4 2,787.3
GOODS AND SERVICES..................................... 1Z9999 B XN
149.0
902.5 1,914.5
. . . . 1,042.9 1,376.1 1,251.4 2,812.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
6,728.4
7,469.6
9,476.3 10,165.9
9,671.2 10,597.8 11,576.7
....
7,771.3
8,845.7 10,727.7 12,978.3
9,522.1 11,500.2 13,491.2
. . . . 3,248.8 3,890.6 5,140.3 6,827.8 4,225.0 5,362.0 6,935.4
....
3,088.8 3,415.8 3,860.4 4,370.9 3,982.7 4,457.1 4,932.3
....
3,026.8
3,327.9
3,754.2
4,225.2
3,885.3
4,348.1
4,795.7
....
62.0
87.9
106.2
145.7
97.4
109.0
136.7
....
....
....
....
....
....
....
....
....
6,337.6 7,306.5 9,000.7 11,198.7 8,207.6 9,819.1 11,867.7
....
6,337.6
7,306.5
9,000.7 11,198.7
8,207.6
9,819.1 11,867.7
....
....
....
....
....
....
....
....
....
2,205.9 2,514.6 3,888.9 4,015.4 4,374.0 4,459.6 5,020.9
....
3,639.6
4,053.8
5,616.0
5,795.0
5,688.5
6,140.7
6,644.4
....
1,433.7
1,539.2
1,727.1
1,779.6
1,314.5
1,681.1
1,623.5
....
1,151.6 1,015.3 2,147.0 1,800.9 2,221.7 1,967.2 1,872.6
....
....
....
....
....
....
....
....
....
.3
236.2
114.2
159.3
61.6
64.4
48.6
....
....
....
.1
....
....
.2
.5
....
285.8
264.0
321.1
374.4
296.0
311.4
371.0
138.5
157.6
195.2
250.4
186.3
180.3
223.4
....
....
17.5
22.8
35.4
39.1
27.0
24.5
25.7
....
129.7
83.5
90.4
85.0
82.7
106.5
121.9
....
653.2
659.8
680.3
725.1
535.5
691.1
761.4
86.3
91.7
116.6
124.6
94.6
109.2
117.0
....
....
516.7
508.8
489.2
527.4
384.0
525.6
589.1
....
50.3
59.3
74.5
73.1
56.8
56.3
55.3
....
1,670.8 1,707.1 2,026.3 2,282.9 1,815.0 1,998.7 2,151.3
....
2.1
1.5
1.6
1.9
1.8
1.8
1.9
....
1,668.7
1,705.6
2,024.7
2,281.0
1,813.2
1,996.9
2,149.4
....
469.5
485.3
633.5
593.5
367.3
423.6
405.8
....
1.1
1.2
1.2
1.5
1.1
1.1
1.5
....
468.5
484.0
632.3
591.9
366.2
422.5
404.2
....
531.0
831.3 1,007.5 1,177.5 1,294.2 1,799.0 2,201.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
9.0
11.7
11.5
13.9
16.4
25.7
28.6
....
.1
....
....
.6
.6
7.5
4.1
....
286.2
452.4
542.0
719.2
796.6
1,254.5
1,574.2
....
198.5
328.1
422.3
413.5
454.5
479.5
568.4
....
.1
.1
.1
.1
.1
.1
.1
....
37.0
38.9
31.5
30.2
26.0
31.7
25.5
....
311.0
394.1
413.1
461.1
411.7
566.2
455.8
....
....
....
....
....
....
....
....
....
90.0
86.4
116.7
148.7
119.1
131.3
104.1
....
6.4
14.0
14.2
11.7
9.6
18.0
21.3
....
56.9
87.5
52.7
62.2
64.6
63.6
59.5
....
51.1
78.1
69.0
73.9
80.2
96.3
85.2
....
102.8
124.2
156.3
160.3
132.3
249.9
169.7
....
.1
.1
.1
.1
1.6
2.6
7.3
....
3.8
3.9
4.0
4.1
4.2
4.4
8.8
....
....
....
....
....
....
....
....
....
....
....

208.5
806.9
1,015.4
20.6
13.1
786.3
594.6
587.5
578.2
9.3
7.0

4.3
1,135.1
1,130.8
23.3
13.5
1,111.8
739.9
732.1
728.5
3.7
7.7

864.7
707.7
1,572.4
22.3
13.9
685.4
133.3
125.6
105.9
19.6
7.7

417.1 1,083.7
696.8
219.3
1,113.9
1,303.0
20.9
24.5
14.3
14.8
676.0
194.8
280.7
16.5
273.7
1.2
277.1
....
3.4
1.2
6.9
15.3

745.2
199.3
944.5
25.2
32.4
174.1
21.9
17.8
5.0
12.8
4.0

603.9
214.5
818.4
33.2
33.0
181.3
63.1
45.1
6.4
38.7
17.9

_______________________________________________________________________________________________________________________________
221
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Costa Rica

238
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

72.1
....
....
....
72.1
119.6
....
119.6
....
....
....
....
1,002.3
742.8
738.7
647.2
91.5
4.2
49.2
....
....
....
49.2
210.3
....
210.3
....
....
....

106.4
....
....
....
106.4
265.6
....
265.6
....
....
....
....
1,117.3
852.8
850.4
440.2
410.2
2.4
74.5
....
....
....
74.5
190.0
....
190.0
....
....
....

144.4
....
....
....
144.4
407.7
....
407.7
....
....
....
....
1,558.5
1,131.1
1,120.3
599.4
521.0
10.8
79.8
....
....
....
79.8
347.6
....
347.6
....
....
....

130.2
....
....
....
130.2
265.1
....
265.1
....
....
....
....
1,099.6
749.4
747.0
301.0
446.0
2.4
82.4
....
....
....
82.4
267.8
....
267.8
....
....
....

100.6
....
....
....
100.6
77.7
....
77.7
....
....
....
....
1,288.2
985.9
980.2
509.1
471.2
5.6
62.6
....
....
....
62.6
239.8
....
239.8
....
....
....

90.9
....
....
....
90.9
61.3
....
61.3
....
....
....
....
912.1
606.0
605.6
108.1
497.4
.5
61.9
....
....
....
61.9
244.2
....
244.2
....
....
....

82.1
....
....
....
82.1
36.2
....
36.2
....
....
....
....
785.4
502.7
501.3
113.3
388.0
1.4
47.8
....
....
....
47.8
234.9
....
234.9
....
....
....

....
....
....
....
....
....
....
....
....
....
....

270.4
470.6
8.2
462.3
399.8
62.6
200.1
3.9
196.2
195.9
.2

349.2
586.1
22.1
564.0
489.8
74.2
237.0
3.8
233.1
232.9
.3

469.8
734.6
19.1
715.5
595.6
119.9
264.8
7.1
257.8
257.5
.3

442.2
706.6
41.0
665.6
583.9
81.8
264.4
9.8
254.6
254.3
.3

358.7
593.3
34.2
559.1
488.6
70.6
234.6
10.5
224.1
223.8
.3

366.4
605.7
22.3
583.4
505.5
78.0
239.3
12.0
227.3
227.0
.3

322.9
593.5
31.5
562.0
487.0
74.9
270.6
12.8
257.7
257.5
.2

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

15.9
....
....
15.9
....
....
....
15.9
....
....
....
....
....

1.1
....
....
1.1
.4
.4
....
.7
....
....
....
....
....

21.2
....
....
21.2
21.2
1.2
20.0
....
....
....
....
....
....

7.4
....
....
7.4
7.4
2.4
5.0
....
....
....
....
....
....

58.3
....
....
58.3
32.8
2.3
30.5
25.5
....
....
....
....
....

53.5
....
....
80.5
49.7
2.2
47.5
30.8
26.9
15.0
....
15.0
11.9

21.6
....
....
35.2
14.9
1.9
13.0
20.3
13.6
....
....
....
13.6

FINANCIAL ACCOUNT........................................ 30999S N AA

....

820.7

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

904.0 1,371.0 1,633.7 2,072.3 1,339.0 1,440.9 2,118.4


43.0
98.1
262.4
5.9
7.5
24.8
57.8
42.3
113.5
256.1
1.5
1.7
16.3
25.6
51.6
109.8
236.5
4.9
.5
3.9
13.1
51.6
109.8
236.5
4.9
.5
3.9
13.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
9.3
3.7
19.6
3.4
1.2
12.4
38.7
.7
15.4
6.3
4.4
5.7
8.5
32.1
.7
15.4
6.3
4.4
5.7
8.5
32.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

872.0 1,412.2 2,827.5

386.1 1,425.0 2,452.5

_______________________________________________________________________________________________________________________________
222
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Costa Rica

238
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

861.0
574.6
483.1
483.1
....
....
91.5
286.4
286.4
....
....

1,469.1
1,444.4
1,034.2
1,034.2
....
....
410.2
24.7
24.7
....
....

1,896.1
1,898.3
1,377.3
1,377.3
....
....
521.0
2.2
2.2
....
....

2,078.2
2,039.6
1,593.6
1,593.6
....
....
446.0
38.6
38.6
....
....

1,346.5
1,521.0
1,049.9
1,049.9
....
....
471.2
174.5
174.5
....
....

1,465.6
1,315.9
818.5
818.5
....
....
497.4
149.7
149.7
....
....

2,176.2
1,465.4
1,077.4
1,077.4
....
....
388.0
710.7
710.7
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

344.5
680.7
6.1
....
....
....
6.1
....
674.6
....
....
....
674.6
....
336.2
....
....
....
....
....
....
336.2
....
....
332.6
3.6
....

493.1
509.3
3.9
....
....
....
3.9
....
513.2
....
....
....
513.2
....
16.2
....
....
....
....
....
....
16.2
....
....
23.5
7.4
....

.4
170.4
42.2
....
....
....
42.2
....
128.2
....
....
....
128.2
....
170.0
....
....
....
....
....
....
170.0
....
....
136.9
33.1
....

401.6
537.3
11.5
....
....
....
11.5
....
548.8
....
....
....
548.8
....
135.7
....
....
....
....
....
....
135.7
....
....
142.3
6.6
....

286.1
321.7
2.7
....
....
....
2.7
....
319.0
....
267.2
....
51.7
....
35.6
....
....
....
....
....
....
35.6
....
....
50.1
14.4
....

373.1
218.6
2.3
....
.6
....
2.9
....
216.3
....
119.3
....
97.0
....
154.5
....
....
....
....
....
....
154.5
....
....
142.6
11.9
....

263.4
258.9
.4
....
.1
....
.2
....
258.5
....
308.1
....
49.6
....
4.5
....
....
....
....
....
....
4.5
....
....
232.1
236.6
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

654.6 1,025.0
154.5
654.6
....
....
154.5
654.6
4.0
3.7
163.3
81.9
....
....
321.8
576.3
....
....
500.2
370.4
....
....
....
....
500.2
370.4
66.6
85.8
32.4
124.0
2.0
52.9
536.4
385.0
....
....

926.6
155.8
....
155.8
2.9
119.8
....
272.7
....
1,082.4
....
....
1,082.4
5.9
608.8
55.3
534.8
....

5.6
684.6
....
684.6
.7
566.7
....
117.2
....
690.2
....
....
690.2
7.8
248.6
43.2
492.5
....

406.9
332.2
....
332.2
34.2
418.2
....
51.8
....
739.2
....
207.4
946.6
13.5
799.9
22.3
111.0
....

172.2
376.5
....
376.5
6.2
66.8
....
303.5
....
548.8
....
....
548.8
3.7
119.0
477.6
44.1
....

203.1
214.0
....
214.0
45.9
15.1
....
153.0
....
417.2
....
....
417.2
10.9
715.8
18.5
306.3
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA


Monetary gold.............................................................. 3EA000 A AA
Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

393.5
....
.1
....
393.6

1,030.8
....
....
....
1,030.8

1,147.7
....
.1
....
1,147.6

348.0
....
.2
....
348.2

259.9
....
207.2
....
52.7

561.1
....
.4
....
561.6

132.4
....
.1
....
132.4

NET ERRORS AND OMISSIONS.........................

....

144.5

149.5

213.0

47.6

131.6

197.3

278.6

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
223
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Costa Rica

238
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
7,863.6 9,796.5 12,045.8 12,317.5 12,306.3 13,057.3 13,239.7
Direct investment............................................. 8A9999 A AA
....
169.9
279.1
541.5
547.5
560.9
664.9
720.6
Equity and investment fund shares................. 8AA000 A AA
....
163.5
276.9
533.0
534.5
542.2
564.2
588.1
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

163.5
....
....
6.3
6.3
....
....
807.1
17.0
....
....
....
17.0
....
790.0
....
....
....
790.0
....
....
4,574.0
....
4,574.0
162.9
764.3
....
3,646.7
....
2,312.6
....
....
28.6
2,284.0

276.9
....
....
2.2
2.2
....
....
1,317.9
13.1
....
....
....
13.1
....
1,304.7
....
....
....
1,304.7
....
....
5,084.9
....
5,084.9
775.2
682.4
....
3,627.3
....
3,114.6
....
....
30.1
3,084.4

533.0
....
....
8.5
8.5
....
....
1,488.2
55.3
....
....
....
55.3
....
1,432.9
....
....
....
1,432.9
....
....
5,902.4
....
5,902.4
937.8
555.5
....
4,409.2
....
4,113.6
....
.1
31.6
4,081.9

534.5
....
....
12.9
12.9
....
....
950.9
66.8
....
....
....
66.8
....
884.1
....
....
....
884.1
....
....
7,020.4
....
7,020.4
938.5
1,168.8
....
4,913.2
....
3,798.7
....
.3
30.8
3,767.5

542.2
....
....
18.7
18.7
....
....
1,496.1
263.4
....
.1
....
263.3
....
1,232.7
....
707.7
....
525.0
....
....
6,183.2
....
6,183.2
972.6
815.6
....
4,395.0
....
4,066.2
....
208.3
31.4
3,826.5

564.2
....
....
100.7
100.7
....
....
1,351.8
329.6
....
30.6
....
299.0
....
1,022.2
....
554.9
....
467.3
....
....
6,410.8
....
6,410.8
978.9
876.2
....
4,555.7
....
4,629.7
....
204.2
30.8
4,394.7

588.1
....
....
132.5
132.5
....
....
1,115.7
336.6
....
11.0
....
325.6
....
779.1
....
281.4
....
497.6
....
....
6,645.1
....
6,645.1
1,024.8
919.9
....
4,700.5
....
4,758.3
....
203.5
30.7
4,524.1

. . . . 11,570.1 13,305.8 16,617.1 19,164.0 19,938.0 22,450.3 25,468.7


....
5,433.1 6,796.7 8,819.0 10,894.1 12,402.1 14,082.0 16,355.8
....
4,700.4 5,991.2 8,037.0 9,995.2 11,691.2 13,204.9 14,800.0
....
4,684.2
5,975.0
8,020.7
9,978.9 11,675.0 13,188.6 14,783.7
....
16.3
16.3
16.3
16.3
16.3
16.3
16.3
....
....
....
....
....
....
....
....
....
732.7
805.5
782.0
898.9
710.9
877.2 1,555.8
....
732.7
805.5
782.0
898.9
710.9
877.2
1,555.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
961.2 1,004.3 1,157.2
921.7 1,010.2 1,187.1 1,171.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
961.2 1,004.3 1,157.2
921.7 1,010.2 1,187.1 1,171.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
955.6
1,001.0
1,122.1
883.5
985.2
1,148.0
895.3
....
5.6
3.3
35.1
38.2
25.1
39.1
276.2
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
224
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Costa Rica

238
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Costa Rican


colones/U.S.Dollar (end of period)................ AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
5,175.7
....
33.9
5,141.8
178.9
1,040.8
617.4
3,304.7
....

....
5,504.8
....
35.7
5,469.1
94.0
1,160.1
570.6
3,644.4
....

....
6,640.8
....
37.5
6,603.3
88.9
1,693.8
528.3
4,292.3
....

....
7,348.2
....
36.5
7,311.6
80.6
2,400.0
499.7
4,331.3
....

....
6,525.7
....
245.4
6,280.3
58.0
1,582.6
476.9
4,162.8
....

....
7,181.2
....
241.1
6,940.1
53.5
1,616.3
965.1
4,305.3
....

....
7,941.4
....
240.3
7,701.1
303.8
2,337.4
1,024.3
4,035.5
....

....
....

3,706.6 3,509.4 4,571.3 6,846.5 7,631.7 9,393.0 12,229.0


496.68

517.90

498.10

555.47

565.24

512.97

511.84

_______________________________________________________________________________________________________________________________
225
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cte d'Ivoire

662
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
39.7
479.0
139.0
451.6 1,617.6
464.5

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

2005

7,589.0
5,096.8

2006

8,362.0
5,209.4

2007

2008

2009

8,548.0
5,937.0

10,251.4
6,882.2

11,168.0
6,911.2

11,410.2
7,788.6

....
....
....

1,155.2
2,838.3

1,171.8
2,775.1

1,183.0
2,986.8

....
....
....

2,492.2

3,152.6

2,611.0

934.4
2,271.4

953.3
2,385.4

1,046.5
2,643.8

3,369.2

4,256.8

3,621.6

1,155.3

1,720.5

1,013.7

1,686.1

2,653.4

1,817.9

193.9
847.1

502.0

196.2
906.4

1,010.3

218.1
1,027.5

236.6
1,138.7

784.0

221.9
1,159.0

1,716.3

217.3
1,131.3

903.9

....
....
....

....
....

194.8
657.2

217.7
749.0

476.6
819.9

582.3
914.8

790.0
888.7

432.8
872.1

....
....

B. Capital Account........................................... 20999F B AA

....

185.2

33.0

92.9

89.3

224.9

1,178.3

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

185.8
.6

224.9

33.6
.6

512.0

93.5
.6

46.2

89.9
.5

540.9

226.0
1.1

1,842.5

1,178.9
.6

1,642.8

....
....
....

C. Financial Account......................................... 30999F N AA

....

482.5

278.5

326.9

203.9

718.8

162.4

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

37.0
....
37.0

31.8
....
31.8

16.4
....
16.4

20.3
....
20.3

9.4
13.7
23.2

44.1
25.5
18.5

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

348.9
302.3
46.6

350.7
303.7
47.0

443.2
404.3
38.9

466.5
431.3
35.2

396.0
399.7
3.6

358.1
371.0
12.9

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

49.9
26.9
76.8

24.2
6.0
18.2

42.9
7.7
35.2

28.6
8.3
20.3

18.6
6.9
11.8

22.1
8.3
13.9

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

48.1
13.9
34.2

45.3
1.6
43.7

145.6
1.6
143.9

76.6
1.9
74.6

11.8
2.2
14.0

486.5
2.2
484.3

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

4.3
5.2
.9

6.3
6.3
....

7.0
7.0
....

6.2
6.2
....

7.5
7.5
....

7.3
7.3
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

497.9
....
497.9

501.1
....
501.1

377.1
....
377.1

369.9
....
369.9

1,234.5
....
1,234.5

1,383.4
....
1,383.4

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

290.3
....
290.3

111.1
....
111.1

181.6
....
181.6

322.0
....
322.0

167.1
....
167.1

449.9
....
449.9

1,480.5

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

57.5

10.1

39.9

106.5

37.1

53.1

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

315.1

223.3

320.7

230.5

1,086.6

1,427.3

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

148.4
90.6
257.3

314.8
57.7
149.2

473.9
15.1
138.1

135.5
21.7
387.7

915.4
155.2
326.4

565.8
35.7
897.3

....
....
....

Conversion rates: CFA francs per U.S. dollar.... RFZ F B

....

527.47

522.89

479.27

447.81

472.19

495.28

471.87

257.6

233.4

204.3

280.8

337.0

1,123.7

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
226
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cte d'Ivoire

662
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
39.7
479.0
139.0
451.6 1,617.6
464.5
GOODS AND SERVICES..................................... 1Z9999 B XN
....
1,155.3 1,720.5 1,013.7 1,686.1 2,653.4 1,817.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
8,523.4
9,315.4
9,594.5 11,406.6 12,339.8 12,593.3
....
7,368.2
7,594.8
8,580.8
9,720.6
9,686.3 10,775.4
....
2,492.2 3,152.6 2,611.0 3,369.2 4,256.8 3,621.6
....
7,589.0 8,362.0 8,548.0 10,251.4 11,168.0 11,410.2
....
7,569.1
8,336.5
8,515.7 10,194.8 10,957.7 11,227.0
....
.1
.2
.3
.2
....
1.0
....
19.8
25.7
32.6
56.8
210.3
182.2
....
5,096.8 5,209.4 5,937.0 6,882.2 6,911.2 7,788.6
....
5,096.8
5,209.4
5,937.0
6,882.2
6,911.2
7,788.6
....
....
....
....
....
....
....
. . . . 1,336.9 1,432.1 1,597.3 1,683.1 1,603.3 1,803.7
....
934.4
953.3
1,046.5
1,155.2
1,171.8
1,183.0
....
2,271.4
2,385.4
2,643.8
2,838.3
2,775.1
2,986.8
....
94.5
96.7
95.8
116.7
127.4
109.3
....
153.9
158.9
167.4
186.4
174.6
168.8
....
14.0
18.4
24.6
21.7
31.6
36.1
....
.4
....
....
....
....
....
....
188.6
202.2
210.6
235.3
240.6
236.3
....
9.6
10.7
11.8
13.2
12.8
12.0
50.9
42.0
46.2
48.5
61.5
64.1
....
....
128.1
149.5
152.6
173.7
166.3
160.2
....
1,092.4 1,141.3 1,303.7 1,512.6 1,458.5 1,615.8
194.6
210.2
234.1
255.8
246.0
216.7
....
....
845.4
877.5
1,009.8
1,191.5
1,149.7
1,338.3
52.4
53.7
59.8
65.3
62.8
60.8
....
....
83.3
93.1
102.9
115.6
151.1
200.9
....
56.2
65.2
72.2
82.2
78.7
70.6
....
27.0
27.8
30.7
33.4
72.4
130.3
....
353.9
372.6
371.6
356.4
342.6
352.0
....
21.1
25.5
28.3
30.9
29.7
26.2
....
332.8
347.1
343.3
325.5
312.9
325.9
....
554.0
542.9
612.5
665.9
621.2
600.4
....
16.8
21.7
29.6
30.8
7.4
5.0
....
33.5
35.4
38.3
41.9
40.3
39.2
....
54.0
55.2
61.1
66.9
64.1
62.2
....
....
....
....
.3
.1
....
....
90.9
92.7
102.7
112.4
107.7
104.5
....
223.6
199.6
223.0
245.0
240.2
232.9
....
....
....
....
....
....
....
....
135.2
138.3
157.9
168.5
161.4
156.7
....
670.8
712.5
801.0
782.9
799.3
850.2
....
2.4
4.1
5.3
8.0
34.4
18.4
....
63.6
65.5
73.0
77.2
85.4
89.4
....
119.6
129.1
143.8
138.5
133.2
128.9
....
10.3
9.6
22.0
21.2
20.3
17.4
....
71.5
73.0
80.8
86.5
90.7
89.2
....
260.8
284.1
254.6
277.9
267.3
258.6
....
.8
.8
.9
1.0
1.0
1.0
....
141.8
146.4
220.7
172.5
167.1
247.2
....
....
....
....
....
....
....
....
....
....
....

653.2
193.9
847.1
161.3
16.8
32.6
4.6
2.7
2.7
....
1.8

710.3
196.2
906.4
164.7
17.3
31.5
4.7
2.9
2.9
....
1.9

809.4
218.1
1,027.5
182.3
19.2
35.7
5.3
3.3
3.3
....
2.0

902.1
236.6
1,138.7
196.4
21.0
40.2
5.8
3.7
3.7
....
2.1

937.1
221.9
1,159.0
187.4
20.2
34.5
5.4
3.4
3.3
....
2.0

914.0
217.3
1,131.3
181.9
19.6
35.4
8.9
7.0
3.1
3.9
1.9

2011
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
227
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cte d'Ivoire

662
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5.3
.2
....
....
5.0
22.8
....
22.8
....
....
....
....
830.4
370.1
295.5
188.3
107.2
74.7
48.2
37.3
....
....
10.9
412.0
....
412.0
....
....
....

4.6
....
....
....
4.6
22.2
....
22.2
....
....
....
....
889.2
477.9
381.5
243.1
138.4
96.4
57.2
45.8
....
....
11.4
354.0
....
354.0
....
....
....

5.2
....
....
....
5.2
25.2
....
25.2
....
....
....
....
1,008.2
530.8
423.7
270.0
153.7
107.1
63.5
50.9
....
....
12.6
413.9
....
413.9
....
....
....

5.8
.2
....
....
5.6
28.6
....
28.6
....
....
....
....
1,117.6
581.2
463.9
295.6
168.3
117.3
70.5
56.7
....
....
13.8
466.0
....
466.0
....
....
....

5.3
....
....
....
5.3
23.9
....
23.9
....
....
....
....
1,138.8
572.1
456.7
291.0
165.7
115.4
69.4
55.8
....
....
13.6
497.3
....
497.3
....
....
....

5.3
.2
....
....
5.1
21.2
....
21.2
....
....
....
....
1,111.7
561.8
449.8
288.0
161.8
112.0
67.4
54.1
....
....
13.3
482.5
....
482.5
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

462.4
194.8
....
194.8
1.9
192.9
657.2
21.8
635.4
580.2
55.2

531.3
217.7
....
217.7
2.1
215.6
749.0
36.2
712.8
643.2
69.6

343.3
476.6
219.1
257.5
2.4
255.1
819.9
55.7
764.2
679.1
85.1

332.5
582.3
323.2
259.1
2.5
256.5
914.8
71.4
843.4
734.6
108.8

98.7
790.0
554.3
235.7
127.7
108.0
888.7
58.5
830.3
723.2
107.1

439.3
432.8
132.9
299.8
191.6
108.2
872.1
61.5
810.6
706.0
104.6

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

185.2
4.6
.6
181.3
179.3
....
179.3
1.9
....
....
....
....
....

33.0
4.7
.6
28.9
28.9
....
28.9
....
....
....
....
....
....

92.9
2.5
.6
91.0
91.0
....
91.0
....
....
....
....
....
....

89.3
2.9
.5
87.0
86.6
....
86.6
.3
....
....
....
....
....

224.9
....
1.1
226.0
223.6
118.8
104.8
2.3
....
....
....
....
....

1,178.3
....
.6
1,178.9
1,178.9
1,096.2
82.8
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

167.4

501.8

6.3

434.4

1,805.4

1,589.7

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

311.9
37.0
....
....
....
....
....
....
37.0
....
37.0
....

318.9
31.8
....
....
....
....
....
....
31.8
....
31.8
....

426.8
16.4
....
....
....
....
....
....
16.4
....
16.4
....

446.1
20.3
....
....
....
....
....
....
20.3
....
20.3
....

386.6
9.4
13.7
13.8
13.8
....
....
....
23.2
3.2
19.9
....

314.1
44.1
25.5
21.7
21.7
....
....
3.9
18.5
1.2
17.3
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
228
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cte d'Ivoire

662
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

348.9
302.3
195.1
195.1
....
....
107.2
46.6
46.6
....
....

350.7
303.7
165.2
165.2
....
....
138.4
47.0
47.0
....
....

443.2
404.3
250.5
250.5
....
....
153.7
38.9
38.9
....
....

466.5
431.3
263.0
263.0
....
....
168.3
35.2
35.2
....
....

396.0
399.7
234.0
234.0
....
....
165.7
3.6
2.6
1.0
....

358.1
371.0
209.2
209.2
....
....
161.8
12.9
14.7
1.8
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.8
49.9
26.9
....
15.6
....
11.3
....
76.8
....
36.0
....
40.8
....
48.1
13.9
....
12.1
....
1.8
....
34.2
....
....
33.0
1.2
....

21.1
24.2
6.0
....
....
....
6.0
....
18.2
....
....
....
18.2
....
45.3
1.6
....
....
....
1.6
....
43.7
....
....
44.6
.8
....

102.7
42.9
7.7
....
....
....
7.7
....
35.2
....
....
11.3
23.8
....
145.6
1.6
....
....
....
1.6
....
143.9
....
....
144.4
.5
....

48.0
28.6
8.3
....
....
....
8.3
....
20.3
....
....
....
20.3
....
76.6
1.9
....
....
....
1.9
....
74.6
....
....
73.5
1.2
....

30.4
18.6
6.9
....
....
....
6.9
....
11.8
....
....
....
11.8
....
11.8
2.2
....
....
....
2.2
....
14.0
....
....
14.2
.2
....

464.4
22.1
8.3
....
....
....
8.3
....
13.9
....
....
....
13.9
....
486.5
2.2
....
....
....
2.2
....
484.3
....
....
466.6
17.7
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

4.3
5.2
.9

6.3
6.3
....

7.0
7.0
....

6.2
6.2
....

7.5
7.5
....

7.3
7.3
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

621.6
497.9
....
497.9
....
66.8
3.2
427.9
....
123.7
....
....
123.7
129.3
42.8
257.3
208.8
....

520.7
501.1
....
501.1
....
26.1
5.4
521.8
....
19.6
....
....
19.6
2.5
47.9
149.2
214.2
....

42.3
377.1
....
377.1
....
1.4
1.3
377.3
....
334.8
....
....
334.8
24.4
.2
138.1
172.4
....

1,057.8
369.9
....
369.9
....
55.1
....
425.0
....
687.9
....
....
687.9
16.3
114.9
387.7
201.7
....

1,238.6
1,234.5
....
1,234.5
....
78.2
2.3
1,310.4
....
4.1
....
426.6
430.7
180.4
41.3
326.4
243.4
....

1,795.1
1,383.4
....
1,383.4
....
338.6
3.4
1,041.5
....
411.6
....
....
411.6
23.7
435.2
897.3
26.8
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

148.4
....
.5
.1
148.9

314.8
....
.3
.1
314.4

473.9
....
.5
.1
474.3

135.5
....
.7
.1
136.3

915.4
....
424.8
.1
490.5

565.8
....
.5
.1
565.2

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

57.5

10.1

39.9

106.5

37.1

53.1

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
229
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cte d'Ivoire

662
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
6,052.7 7,645.5 9,514.7 9,333.5 11,893.8 13,077.1
Direct investment............................................. 8A9999 A AA
....
....
....
....
80.9
73.9
93.6
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
80.9
73.9
93.6
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

93.6
....
....
....
....
....
....
629.2
52.1
....
....
....
....
....
577.1
....
....
....
577.1
....
....
8,729.9
....
8,729.9
....
704.8
....
8,025.1
....
3,624.4
....
420.5
1.3
3,202.6

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
418.9
1.4
....

. . . . 16,892.3 19,322.2 22,525.0 21,600.5 21,202.7 21,323.4


....
3,901.3 4,690.1 5,701.5 5,814.0 6,409.3 6,286.8
....
3,901.3 4,690.1 5,701.5 5,814.0 6,409.3 6,286.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
471.2
573.6
797.7
826.9
843.7 1,273.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
471.2
573.6
797.7
826.9
843.7 1,273.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
471.2
573.6
797.7
826.9
843.7
1,273.4
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
407.3
13.8
....
....
....
....
....
393.5
....
....
....
393.5
....
....
4,331.0
....
4,331.0
....
412.9
....
3,918.1
....
1,314.4
....
.6
.9
1,312.8

....
....
....
....
....
....
....
486.7
21.7
....
....
....
....
....
465.0
....
....
....
465.0
....
....
5,361.1
....
5,361.1
....
470.4
....
4,890.7
....
1,797.7
....
1.0
1.0
1,795.7

....
....
....
....
....
....
....
597.7
32.6
....
....
....
....
....
565.1
....
....
....
565.1
....
....
6,398.0
....
6,398.0
....
544.1
....
5,853.9
....
2,519.0
....
.6
1.1
2,517.3

80.9
....
....
....
....
....
....
598.1
38.7
....
....
....
....
....
559.4
....
....
....
559.4
....
....
6,401.8
....
6,401.8
....
570.4
....
5,831.3
....
2,252.7
....
1.2
1.2
2,250.3

73.9
....
....
....
....
....
....
646.3
47.2
....
....
....
....
....
599.1
....
....
....
599.1
....
....
7,906.8
....
7,906.8
....
652.5
....
7,254.3
....
3,266.8
....
427.5
1.3
2,838.1

_______________________________________________________________________________________________________________________________
230
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cte d'Ivoire

662
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: CFA francs per U.S. dollar


(end of period).............................................. AEZ F B

....

2010

2011

....
....
....
....
....
....
....
. . . . 12,519.8 14,058.6 16,025.8 14,959.7 13,949.7 13,763.2
....
....
....
....
....
....
....
....
54.1
56.9
59.8
58.3
487.4
478.8
. . . . 12,465.8 14,001.7 15,966.1 14,901.4 13,462.3 13,284.4
....
198.4
150.1
173.5
188.3
351.8
382.6
....
559.1
741.9
841.2
688.7
698.4
1,064.6
. . . . 11,189.9 12,765.4 14,383.2 13,684.1 12,314.6 11,709.5
....
518.3
344.3
568.3
340.2
97.6
127.6
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

. . . . 10,839.6 11,676.7 13,010.3 12,267.0 9,308.9 8,246.3

....

....

2005

556.04

2006

498.07

2007

445.59

2008

471.34

2009

455.34

490.91

506.96

_______________________________________________________________________________________________________________________________
231
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Croatia

960
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
962.8
. . . . 2,460.0 3,232.8 4,327.9 6,083.0 3,067.3

466.3

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

3,935.3

4,622.9

5,758.4

7,659.2

4,517.6

2,399.1

2,071.4

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

2,027.2
551.9

2,060.5
670.4

2,164.4
733.9

2,468.2
892.0

2,247.9
797.6

2,227.3
790.9

2,332.0
727.0

B. Capital Account........................................... 20999F B AA

....

63.4

157.3

38.3

23.3

61.1

45.8

14.4

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

70.5
7.1

2,396.6

54.4
211.7

72.2
33.9

76.8
53.4

97.3
36.2

77.7
31.9

5.6
20.0

C. Financial Account......................................... 30999F N AA

....

4,706.6 6,839.7 6,930.4 7,931.8 6,479.3 1,935.0 2,564.1

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

226.2
148.7
77.5

263.7
266.5
2.7

344.0
365.8
21.8

1,342.9
1,465.6
122.7

1,352.1
1,260.3
91.8

186.8
335.4
522.2

245.1
265.9
511.0

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,777.1
1,722.5
54.6

3,457.4
3,081.8
375.7

5,016.3
3,662.0
1,354.3

6,057.1
3,951.5
2,105.7

3,427.7
1,411.6
2,016.1

848.3
1,270.1
421.8

1,264.4
3,155.7
1,891.3

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

711.9
238.7
473.2

606.7
405.1
201.6

542.0
1,114.4
572.4

437.8
219.5
657.3

855.5
160.7
694.7

448.9
637.4
188.5

695.5
165.3
860.8

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

796.5
112.8
909.4

359.7
417.7
57.9

985.5
436.7
548.8

574.0
111.4
462.6

1,579.8
24.5
1,555.3

1,013.0
217.3
795.7

193.0
16.9
176.1

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

118.3
....
118.3

....
....
....

....
....
....

....
....
....

....
....
....

333.6
214.1
547.7

90.5
448.0
538.5

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

1,318.1
....
1,318.1

966.1
....
966.1

2,332.2
....
2,332.2

2,251.9
....
2,251.9

903.6
....
903.6

1,024.0
....
1,024.0

436.1
....
436.1

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

....
....
....
....

3,464.3
....
3,464.3

4,859.1
....
4,859.1

4,146.8
....
4,146.8

6,481.3
....
6,481.3

2,775.8
....
2,775.8

18.9
....
18.9

179.5
....
179.5

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

Current + capital financial account balance............... 4Y999F N AA

8,868.6
18,253.9

10,507.4
21,080.1

12,457.8
25,484.4

14,222.4
30,331.1

10,580.2
20,956.1

9,385.3 10,572.7 13,026.6 16,108.7 10,375.9

7,994.7

8,969.4

10,007.6
3,368.1

10,899.8
3,506.2

12,586.4
3,844.1

15,310.2
4,504.7

12,266.1
3,911.1

11,352.2
3,579.5

12,812.9
3,646.4

1,178.8
3,355.9

1,354.7
3,623.2

2,745.9

3,179.1

4,284.3

5,303.2

2,020.9

909.3
2,098.7

1,166.2
2,609.9

1,841.8
3,315.9

2,059.0
4,415.0

1,109.6
3,606.3

2,310.0

3,390.1

3,449.6

4,289.6

2,640.8

6,059.7

1,872.1

3,006.2

3,473.1

11,914.1
19,908.8

222.0

917.0

1,018.1

13,463.6
22,432.9

197.1

480.7

2,083.4

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,022.3

1,727.2

981.9

391.3

1,836.3

7.7

588.1

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,022.3
....
....

1,727.2
....
....

981.9
....
....

391.3
....
....

1,836.3
....
....

7.7
....
....

588.1
....
....

Conversion rates: kunas per U.S. dollar............ RFZ F B

....

5.9492

5.8378

5.3645

4.9350

5.2839

5.4980

5.3439

1,287.7 1,722.4 1,658.9 2,263.3 1,636.8 1,010.4 1,495.3

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
232
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Croatia

960
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
962.8
. . . . 2,460.0 3,232.8 4,327.9 6,083.0 3,067.3
GOODS AND SERVICES..................................... 1Z9999 B XN
222.0
. . . . 2,745.9 3,179.1 4,284.3 5,303.2 2,020.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 18,876.2 21,407.1 25,044.2 29,532.6 22,846.3 23,266.3


. . . . 21,622.0 24,586.3 29,328.5 34,835.8 24,867.2 23,488.3
. . . . 9,385.3 10,572.7 13,026.6 16,108.7 10,375.9 7,994.7
....
8,868.6 10,507.4 12,457.8 14,222.4 10,580.2 11,914.1
....
8,868.6 10,507.4 12,457.8 14,222.4 10,580.2 11,914.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
. . . . 18,253.9 21,080.1 25,484.4 30,331.1 20,956.1 19,908.8
. . . . 18,253.9 21,080.1 25,484.4 30,331.1 20,956.1 19,908.8
....
....
....
....
....
....
....
....
6,639.4 7,393.6 8,742.3 10,805.5 8,355.0 7,772.7
. . . . 10,007.6 10,899.8 12,586.4 15,310.2 12,266.1 11,352.2
....
3,368.1
3,506.2
3,844.1
4,504.7
3,911.1
3,579.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
86.6
99.5
115.3
148.0
115.1
105.6
....
47.4
50.7
71.8
84.9
69.3
47.7
....
1,096.7 1,309.6 1,601.3 1,793.9 1,314.2 1,289.5
255.1
306.0
367.6
401.5
308.2
204.2
....
....
582.4
694.2
857.4
960.2
612.7
683.9
....
259.1
309.4
376.3
432.3
393.4
401.4
....
547.0
617.5
722.3
864.5
638.3
614.7
32.0
33.4
39.7
43.3
27.6
26.2
....
....
301.5
348.6
423.9
499.6
348.5
339.5
....
213.5
235.4
258.7
321.6
262.2
249.0
....
7,370.1 7,990.1 9,233.2 11,280.1 9,000.0 8,051.1
....
623.3
489.1
533.5
572.6
356.1
310.6
....
6,746.8
7,501.0
8,699.7 10,707.5
8,644.0
7,740.5
....
753.9
736.6
985.2 1,112.6 1,013.1
833.4
....
333.7
288.8
369.1
381.4
337.3
238.4
....
420.2
447.7
616.1
731.3
675.7
595.0
....
1,454.2 1,500.6 1,636.7 2,088.2 1,836.6 1,905.9
....
42.9
78.3
85.1
155.2
152.8
155.2
....
21.8
25.5
31.2
33.5
29.2
31.3
....
34.2
47.5
50.7
48.9
59.5
69.1
....
73.1
47.2
39.6
43.7
32.3
31.8
....
319.5
337.3
403.8
463.9
417.4
391.4
....
933.2
915.2
959.9
1,210.7
1,047.7
1,137.1
....
28.7
49.0
65.8
130.3
97.0
89.3
....
.8
.7
.7
1.9
.7
.6
....
2,019.8 2,101.4 2,064.8 2,442.7 2,190.4 2,083.7
....
4.9
4.0
11.7
13.8
6.7
5.5
....
47.4
59.3
70.6
65.9
66.5
69.0
....
88.3
126.3
83.7
100.3
112.6
139.3
....
192.5
174.8
213.6
257.5
212.6
225.2
....
271.8
296.3
371.3
444.3
382.3
363.1
....
1,307.8
1,312.6
1,154.2
1,353.2
1,220.0
1,108.0
....
56.2
71.2
93.5
133.1
126.9
110.2
....
51.0
56.9
66.2
74.7
62.7
63.4

2011
466.3
197.1
26,276.5
26,079.4
8,969.4
13,463.6
13,463.6
....
....
22,432.9
22,432.9
....
9,166.5
12,812.9
3,646.4
....
....
171.1
81.8
1,353.9

250.0
645.8
458.1

687.2

36.6
380.2
270.3

9,363.8
294.2
9,069.6
881.8
256.3
625.5
1,924.1
87.8
33.8
61.5
23.3
511.6
1,150.1
55.9
....
1,995.7
1.9
65.0
131.6
253.6
417.5
972.1
103.5
50.5

. . . . 1,189.4 1,443.8 1,474.2 2,356.0 2,496.7 2,177.1 2,268.5


....
909.3
1,166.2
1,841.8
2,059.0
1,109.6
1,178.8
1,354.7
....
2,098.7
2,609.9
3,315.9
4,415.0
3,606.3
3,355.9
3,623.2
....
359.2
510.5
724.4
880.5
870.5
869.1
969.4
....
36.3
39.0
46.1
52.0
52.4
48.1
53.6
....
550.0
655.7 1,117.3 1,178.5
239.1
309.7
385.2
....
138.4
102.8
236.5
293.1
90.8
110.6
89.5
....
131.4
96.1
224.4
278.8
104.9
93.4
55.1
....
53.0
14.1
58.9
98.1
58.9
84.3
61.5
....
78.4
82.0
165.5
180.6
163.8
9.1
6.4
....
7.0
6.8
12.1
14.3
14.1
17.3
34.3

_______________________________________________________________________________________________________________________________
233
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Croatia

960
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

57.3
....
....
....
57.2
354.4
....
354.4
....
....
....
....
2,062.4
1,072.8
995.8
275.5
720.3
77.0
329.2
2.7
....
....
326.5
660.4
....
660.4
....
....
....

77.9
2.7
....
....
75.2
475.0
....
475.0
....
....
....
....
2,571.0
1,345.9
1,247.2
352.0
895.2
98.7
307.1
5.1
....
....
302.0
917.9
....
917.9
....
....
....

123.3
12.0
....
....
111.4
757.5
....
757.5
....
....
....
....
3,269.8
1,476.4
1,322.1
669.1
653.0
154.4
364.9
9.4
....
....
355.6
1,428.4
....
1,428.4
....
....
....

119.9
6.0
....
....
113.9
765.6
....
765.6
....
....
....
....
4,363.0
2,056.7
1,797.2
996.4
800.8
259.6
353.4
3.1
....
....
350.4
1,952.8
....
1,952.8
....
....
....

102.7
6.6
....
....
96.1
227.2
....
227.2
....
....
....
....
3,553.9
1,540.1
1,232.9
761.8
471.1
307.2
346.2
7.1
....
....
339.1
1,667.5
....
1,667.5
....
....
....

54.4
7.8
....
....
46.6
144.7
....
144.7
....
....
....
....
3,307.8
1,664.9
1,325.8
582.9
742.9
339.1
458.4
9.3
....
....
449.2
1,184.5
....
1,184.5
....
....
....

78.4
13.0
....
....
65.4
217.4
....
217.4
....
....
....
....
3,569.6
1,581.0
1,220.8
769.8
451.0
360.1
540.7
8.7
....
....
532.1
1,447.9
....
1,447.9
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,475.3
2,027.2
276.0
1,751.3
333.6
1,417.7
551.9
260.2
291.7
59.6
232.1

1,390.1
2,060.5
322.8
1,737.8
314.3
1,423.5
670.4
332.4
338.0
78.7
259.3

1,430.5
2,164.4
358.7
1,805.8
347.7
1,458.1
733.9
379.9
354.0
108.2
245.8

1,576.2
2,468.2
492.4
1,975.8
353.4
1,622.5
892.0
525.6
366.4
125.5
241.0

1,450.3
2,247.9
432.7
1,815.2
337.6
1,477.6
797.6
472.7
324.8
115.0
209.8

1,436.4
2,227.3
402.3
1,825.0
342.4
1,482.6
790.9
457.4
333.5
97.0
236.5

1,605.1
2,332.0
340.6
1,991.4
409.0
1,582.4
727.0
425.4
301.5
105.7
195.8

....
....
....
....
....
....
....
....
....
....
....
....
....

63.4
....
.8
70.5
52.0
5.1
46.9
18.4
6.2
1.7
1.7
....
4.6

157.3
2.8
3.1
51.6
17.5
17.5
....
34.1
208.7
.4
.4
....
208.3

38.3
9.4
18.2
62.8
3.9
3.9
....
58.9
15.6
7.2
7.2
....
8.4

23.3
12.3
36.8
64.5
6.7
6.7
....
57.8
16.6
....
....
....
16.6

61.1
28.7
29.3
68.6
6.1
6.1
....
62.5
6.9
....
....
....
6.9

45.8
1.8
10.5
75.9
....
....
....
75.9
21.4
.4
.4
....
21.8

14.4
5.6
19.2
....
....
....
....
....
.7
.7
....
.7
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

. . . . 1,550.9 3,193.7 4,672.3 4,714.2 2,075.6


....
226.2
263.7
344.0 1,342.9 1,352.1
....
148.7
266.5
365.8 1,465.6 1,260.3
....
70.4
184.5
200.3
1,285.0
1,424.2
....
70.4
184.4
200.3
1,285.0
1,424.2
....
....
.1
....
....
....
....
....
....
....
....
....
....
78.4
82.0
165.5
180.6
163.8
....
77.5
2.7
21.8
122.7
91.8
....
74.2
18.3
27.9
154.3
48.6
....
3.2
21.0
6.1
31.6
43.2
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

3,684.3 5,112.5 5,948.5 8,323.0 4,643.0 1,927.4 1,976.0


661.5 1,509.5
186.8
245.1
335.4
265.9
344.6
274.3
344.6
274.3
....
....
....
....
9.1
8.4
522.2
511.0
496.3
492.9
25.9
18.1
....
....

_______________________________________________________________________________________________________________________________
234
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Croatia

960
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

....
....
....
....
....
....
....
....
....
....
....

1,777.1
1,722.5
1,002.2
1,001.9
.3
....
720.3
54.6
69.0
14.4
....

3,457.4
3,081.8
2,186.6
2,186.6
....
....
895.2
375.7
354.1
21.6
....

5,016.3
3,662.0
3,009.0
3,009.0
....
....
653.0
1,354.3
1,306.3
48.0
....

6,057.1
3,951.5
3,150.7
3,150.7
....
....
800.8
2,105.7
2,107.7
2.1
....

3,427.7
1,411.6
940.5
940.5
....
....
471.1
2,016.1
1,970.3
45.8
....

848.3 1,264.4
1,270.1 3,155.7
527.2
2,704.7
527.2
2,704.7
....
....
....
....
742.9
451.0
421.8 1,891.3
728.3 1,630.9
306.5
260.3
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,508.4
711.9
238.7
....
....
....
238.7
....
473.2
....
428.8
....
44.4
....
796.5
112.8
....
....
....
112.8
....
909.4
....
5.1
925.3
10.9
....

247.0
606.7
405.1
....
3.3
....
408.3
....
201.6
....
125.1
.1
76.5
....
359.7
417.7
....
53.6
....
364.1
....
57.9
....
17.0
175.4
100.5
....

443.5
542.0
1,114.4
....
....
....
1,114.4
....
572.4
....
514.2
.1
58.1
....
985.5
436.7
....
....
....
436.7
....
548.8
....
.4
24.9
574.1
....

1,011.8
437.8
219.5
....
....
....
219.5
....
657.3
....
379.7
....
277.6
....
574.0
111.4
....
....
....
111.4
....
462.6
....
8.4
341.9
112.2
....

724.3
855.5
160.7
....
....
....
160.7
....
694.7
....
616.3
....
78.4
....
1,579.8
24.5
....
....
....
24.5
....
1,555.3
....
630.2
1,598.8
586.7
....

564.2
448.9
637.4
....
....
....
637.4
....
188.5
....
109.1
2.0
81.4
....
1,013.0
217.3
....
....
....
217.3
....
795.7
....
.3
801.7
5.7
....

888.5
695.5
165.3
....
....
....
165.3
....
860.8
....
909.8
....
49.0
....
193.0
16.9
....
....
....
16.9
....
176.1
....
9.5
463.9
278.4
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

118.3
....
118.3

....
....
....

....
....
....

....
....
....

....
....
....

333.6
214.1
547.7

90.5
448.0
538.5

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

. . . . 4,782.4 3,893.0 1,814.6 4,229.3 3,679.4 1,042.9


. . . . 1,318.1
966.1 2,332.2 2,251.9
903.6 1,024.0
....
....
....
....
....
....
....
. . . . 1,318.1
966.1 2,332.2 2,251.9
903.6 1,024.0
....
....
....
....
....
....
....
. . . . 1,685.6
781.1
1,923.1
263.2
458.0
596.7
....
....
....
....
....
....
....
....
367.5
185.0
409.1
1,988.8
445.6
427.3
....
....
....
....
....
....
....
....
3,464.3 4,859.1 4,146.8 6,481.3 2,775.8
18.9
....
....
....
....
....
....
....
....
....
....
....
....
473.5
....
....
3,464.3 4,859.1 4,146.8 6,481.3 2,302.2
18.9
....
.1
.1
.1
.3
1.6
....
....
1,483.4
1,679.2 1,687.5
981.4
1,462.0
334.3
....
123.9
196.4
226.5
136.1
18.2
187.1
....
1,856.9
2,983.3
5,607.8
5,364.0
860.0
166.1
....
....
....
....
....
....
....

256.6
436.1
....
436.1
....
673.5
....
237.5
....
179.5
....
....
179.5
1.5
1,183.2
131.5
1,492.7
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA


Monetary gold.............................................................. 3EA000 A AA
Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

40999S N AA

1,022.3
....
.2
....
1,022.1

1,727.2
....
.1
....
1,727.4

981.9
....
.1
....
981.8

391.3
....
....
....
391.2

1,836.3
....
473.3
....
1,363.0

2010

7.7
....
....
....
7.6

2011

588.1
....
.1
....
588.0

1,287.7 1,722.4 1,658.9 2,263.3 1,636.8 1,010.4 1,495.3

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
235
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Croatia

960
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 19,003.1 23,902.7 31,799.0 31,977.0 35,091.5 31,051.2 30,034.0
Direct investment............................................. 8A9999 A AA
....
2,046.7 2,413.9 3,791.3 5,328.1 6,541.1 4,354.9 4,528.8
Equity and investment fund shares................. 8AA000 A AA
....
1,905.5 2,271.5 3,642.9 5,058.6 6,407.3 4,035.2 3,925.8
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,905.5
2,271.5
3,642.9
5,058.6
6,407.3
4,035.2
3,925.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
141.2
142.4
148.4
269.6
133.8
319.7
603.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2,550.6 3,274.5 4,776.5 3,759.2 4,621.8 4,725.1 3,745.3
449.1
736.4 2,564.7
932.9 1,155.5 1,665.2 1,570.1
....
....
....
....
....
....
....
7.0
8.8
12.2
16.5
19.7
14.7
20.1
....
....
....
....
....
....
....
442.1
727.6
2,552.5
916.5
1,135.8
1,650.5
1,550.0
....
....
....
....
....
....
....
2,101.5 2,538.1 2,211.8 2,826.2 3,466.3 3,059.8 2,175.2
....
....
....
....
....
....
....
1,958.9
2,301.4
2,017.9
2,416.5
3,011.1
2,724.9
1,805.0
....
....
....
....
....
2.0
2.0
142.6
236.7
193.9
409.7
455.2
332.9
368.3
....
....
....
....
....
....
....
....
....
....
....
34.6
21.9
21.0
5,605.5 6,726.4 9,556.7 9,932.3 8,999.5 7,816.8 7,255.1
....
....
....
....
....
....
....
5,605.5 6,726.4 9,556.7 9,932.3 8,999.5 7,816.8 7,255.1
.7
.8
.8
.8
.8
.8
.8
3,816.3
4,857.0
7,243.6
7,315.1
6,766.0
5,836.5
5,059.6
64.1
34.8
102.5
129.0
27.1
35.4
46.4
1,724.3
1,833.8
2,209.8
2,487.4
2,205.5
1,944.2
2,148.2
....
....
....
....
....
....
....
8,800.3 11,487.8 13,674.5 12,957.4 14,894.5 14,132.5 14,483.8
....
....
....
....
....
....
....
.3
.2
.3
.2
475.2
466.9
465.5
.2
.2
.3
.2
.2
.2
.2
8,799.8 11,487.4 13,674.0 12,956.9 14,419.0 13,665.4 14,018.1

. . . . 43,000.3 64,067.6 90,906.5 81,735.4 91,671.8 87,258.3 82,648.8


. . . . 14,591.2 27,363.6 44,977.5 31,526.7 36,383.9 34,704.4 30,883.3
. . . . 11,737.6 23,649.6 39,343.7 23,313.4 25,409.4 24,409.8 22,212.1
. . . . 11,737.6 23,649.6 39,343.7 23,313.4 25,409.4 24,409.8 22,212.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2,853.7 3,714.1 5,633.8 8,213.3 10,974.5 10,294.6 8,671.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
6,543.6 7,682.4 9,755.4 7,733.9 9,301.4 9,441.3 9,145.7
....
765.0 1,333.5 2,236.7
872.0
944.0
978.9
770.7
....
....
....
....
....
....
....
....
....
99.3
188.6
242.0
94.5
89.5
75.4
58.6
....
....
....
....
....
....
....
....
....
665.7
1,144.9
1,994.7
777.5
854.5
903.5
712.1
....
....
....
....
....
....
....
....
....
5,778.6 6,348.9 7,518.6 6,861.9 8,357.3 8,462.4 8,375.0
....
....
....
....
....
....
....
....
....
540.2
602.9
674.3
649.0
12.9
11.8
2.4
....
4,334.5
4,642.9
5,068.9
4,527.3
5,953.0
6,341.6
6,578.7
....
903.9
1,103.1
1,775.3
1,685.5
2,391.4
2,109.0
1,793.8
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
236
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Croatia

960
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: kunas per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
74.9
261.9
250.6
. . . . 21,865.5 29,021.6 36,173.6 42,474.8 45,911.8 42,850.8 42,369.2
....
....
....
....
....
....
....
....
....
63.2
66.5
69.9
68.1
544.5
534.9
533.3
. . . . 21,802.3 28,955.1 36,103.8 42,406.7 45,367.2 42,315.9 41,836.0
....
3.1
3.4
3.5
3.2
1.6
1.6
.1
. . . . 10,083.4 12,857.2 12,371.5 13,670.3 15,331.9 14,249.9 15,043.0
....
2,945.4
3,372.0
3,842.1
2,238.1
2,286.5
2,414.9
2,473.4
....
8,770.4 12,722.4 19,886.7 26,495.1 27,747.3 25,649.4 24,319.5
....
....
....
....
....
....
....
....
. . . . 23,997.2 40,165.0 59,107.5 49,758.3 56,580.3 56,207.1 52,614.8
....

6.2336

5.5784

4.9855

5.1555

5.0893

5.5683

5.8199

_______________________________________________________________________________________________________________________________
237
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Curaao

354
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
....
....
....
....
....
....

858.7

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

797.6
2,100.3

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

1,341.8
807.0

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

113.5
130.9

785.2

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

....
....

....
....

....
....

....
....

....
....

....
....

246.8
320.3

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

57.8

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

67.7
9.9

800.9

C. Financial Account......................................... 30999F N AA

....

....

....

....

....

....

....

589.1

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

11.1
5.5
16.6

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

70.4
41.4
29.0

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

150.9
76.7
227.7

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

2.9
....
2.9

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

.1
.1
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

277.4
....
277.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

82.2
....
82.2

D. Net Errors and Omissions............................. 40999S N AA

....

....

....

....

....

....

....

10.3

E. Reserves and Related Items.......................... 4Z999S N AA

....

....

....

....

....

....

....

201.5

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

187.8
....
13.8

Conversion rates: guilders per U.S. dollar........ RFZ F B

....

....

....

....

....

....

1.7900

1.7900

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

2006

2007

2008

2009

1,302.6

767.8

211.8

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
238
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Curaao

354
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
....
....
....
....
....
....
GOODS AND SERVICES..................................... 1Z9999 B XN
....
....
....
....
....
....
....
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
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2011
858.7
767.8
2,139.4
2,907.3
1,302.6
797.6
797.6
....
....
2,100.3
2,100.3
....
534.8
1,341.8
807.0
3.2
6.4
117.6
19.8
144.5

87.3
2.8
54.3

125.3

54.4
53.3
17.6

453.3
....
453.3
267.5
....
267.5
629.6
29.9
.8
4.5
4.0
21.9
555.8
.1
12.6
400.8
24.5
11.0
11.1
25.5
46.5
274.0
5.4
2.9
17.4
113.5
130.9
33.9
6.0
79.6
22.3
18.2
18.2
....
4.1

_______________________________________________________________________________________________________________________________
239
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Curaao

354
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

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46.0
12.0
....
....
34.0
11.3
....
11.3
....
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....
124.9
58.6
55.4
53.9
1.5
3.2
33.3
28.8
....
....
4.5
33.1
....
33.1
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73.5
246.8
55.0
191.9
.1
191.7
320.3
43.9
276.4
44.4
232.0

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

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57.8
....
....
67.7
56.4
....
56.4
11.2
9.9
....
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....
9.9

FINANCIAL ACCOUNT........................................ 30999S N AA

....

....

....

....

....

....

....

790.6

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

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81.5
11.1
5.5
5.5
5.5
....
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....
16.6
18.3
1.6
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
240
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Curaao

354
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
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....
....
....
....
....

70.4
41.4
39.9
39.9
....
....
1.5
29.0
29.0
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
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....
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....
....

148.1
150.9
76.7
....
66.8
....
9.9
....
227.7
15.1
34.2
3.3
175.1
....
2.9
....
....
....
....
....
....
2.9
....
....
3.4
.6
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

.1
.1
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
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....
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....
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....
....
....
....
....
....
....
....

373.3
277.4
....
277.4
....
25.2
3.9
306.4
....
96.0
....
....
96.0
....
12.1
13.8
94.3
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
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....
....
....

....
....
....
....
....

....
....
....
....
....

187.8
....
....
....
187.8

NET ERRORS AND OMISSIONS.........................

....

....

....

....

....

....

....

10.3

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
241
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Curaao and Sint Maarten

355
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
....
....
....
....
....
....

847.6

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

924.4
2,833.2

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

2,265.8
1,051.0

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

128.5
181.4

746.9

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

....
....

....
....

....
....

....
....

....
....

....
....

330.2
430.9

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

65.2

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

76.8
11.6

782.4

C. Financial Account......................................... 30999F N AA

....

....

....

....

....

....

....

453.2

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

9.9
7.9
17.8

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

22.0
6.8
28.8

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

151.4
76.2
227.5

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

16.5
....
16.5

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

.1
.1
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

224.2
....
224.2

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

62.4
....
62.4

D. Net Errors and Omissions............................. 40999S N AA

....

....

....

....

....

....

....

30.0

E. Reserves and Related Items.......................... 4Z999S N AA

....

....

....

....

....

....

....

299.2

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

283.1
....
16.0

Conversion rates: guilders per U.S. dollar........ RFZ F B

....

....

....

....

....

....

1.7900

1.7900

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

2006

2007

2008

2009

1,908.8

694.0

329.2

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
242
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Curaao and Sint Maarten

355
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
....
....
....
....
....
....
GOODS AND SERVICES..................................... 1Z9999 B XN
....
....
....
....
....
....
....
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
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....

2011
847.6
694.0
3,190.1
3,884.2
1,908.8
924.4
924.4
....
....
2,833.2
2,833.2
....
1,214.8
2,265.8
1,051.0
3.2
6.4
117.7
20.4
179.0

97.7
3.1
78.2

171.5

78.2
72.1
21.3

1,172.4
....
1,172.4
355.9
....
355.9
799.8
43.9
1.7
4.9
5.3
27.8
682.5
.1
33.7
509.5
28.2
15.9
12.8
26.4
61.1
350.6
5.5
9.1
52.9
128.5
181.4
44.8
43.7
83.7
22.8
18.6
18.3
.3
4.2

_______________________________________________________________________________________________________________________________
243
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Curaao and Sint Maarten

355

Table 2 (Continued). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
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....

46.6
12.2
....
....
34.4
14.3
....
14.3
....
....
....
....
137.7
60.8
57.6
56.1
1.5
3.2
36.1
29.8
....
....
6.3
40.8
....
40.8
....
....
....

....
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....
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....
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....

....
....
....
....
....
....
....
....
....
....
....

100.6
330.2
79.3
251.0
.6
250.4
430.9
49.9
381.0
61.5
319.4

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
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....
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....

65.2
....
....
76.8
64.0
....
64.0
12.8
11.6
....
....
....
11.6

FINANCIAL ACCOUNT........................................ 30999S N AA

....

....

....

....

....

....

....

752.3

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
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....
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....
....
....

31.8
9.9
7.9
7.6
7.6
....
....
.3
17.8
19.5
1.7
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
244
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Curaao and Sint Maarten

355

Table 2 (Concluded). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
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....
....
....
....
....

22.0
6.8
8.3
8.3
....
....
1.5
28.8
28.8
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
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....
....
....
....
....
....
....
....
....

134.8
151.4
76.2
....
66.8
....
9.4
....
227.5
23.2
26.1
3.4
174.9
....
16.5
....
....
....
....
....
....
16.5
....
....
4.0
12.6
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

.1
.1
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

302.6
224.2
....
224.2
....
11.2
3.8
239.2
....
78.4
....
....
78.4
....
11.9
15.9
74.3
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

283.1
....
....
....
283.1

NET ERRORS AND OMISSIONS.........................

....

....

....

....

....

....

....

30.0

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
245
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cyprus

423
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
970.9 1,279.4 1,830.9 3,877.6 2,480.1 2,309.2

775.6

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

2,761.4
7,962.4

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

Balance on goods......................................................... 1A9999 B XN

....

2005

2,045.5
5,786.0

2006

1,979.1
6,296.6

2007

1,986.3
7,947.4

2008

2,206.5
9,931.1

2009

2,024.7
7,299.3

2,281.9
7,692.3

3,740.5

4,317.5

5,961.0

7,724.6

5,274.6

5,410.4

5,201.0

....
....
....

6,001.2
2,711.9

6,573.6
2,977.0

720.9

8,299.6
3,773.5

1,434.9

9,173.3
4,332.2

2,883.5

7,433.6
3,439.9

1,280.9

7,235.4
3,268.7

1,443.7

7,785.8
3,476.3

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,634.8
2,246.6

1,063.0

2,139.1
2,903.6

1,485.4

4,163.5
4,546.2

1,817.6

3,805.5
4,704.7

3,782.7

4,031.4
4,959.8

2,209.4

2,998.4
3,708.0

2,153.2

2,100.8
1,697.0

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

631.2
539.1

822.3
616.2

822.3
835.6

918.2
1,013.1

657.0
927.7

950.8
1,106.8

806.7
1,094.5

B. Capital Account........................................... 20999F B AA

....

86.9

33.2

8.1

10.4

73.3

49.0

65.0

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

131.1
44.2

97.8
64.6

87.8
79.6

80.8
70.4

130.1
56.9

89.8
40.8

110.0
45.0

C. Financial Account......................................... 30999F N AA

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

547.6
361.1
186.5

897.8
2,704.2
1,806.5

1,263.0
1,207.0
56.0

2,327.1
1,767.9
559.2

947.7
126.0
1,073.7

43.7
36.9
80.7

89.9
856.3
946.1

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,162.0
1,041.8
120.1

1,872.4
1,452.8
419.6

2,295.5
1,925.9
369.6

1,015.2
1,019.1
3.9

2,180.4
2,334.7
154.3

70.7
38.3
32.4

293.7
309.7
603.3

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,620.3
18.4
1,601.9

3,158.4
31.9
3,190.2

593.8
93.6
687.4

17,054.3
92.8
16,961.6

24,075.5
6,509.9
17,565.6

3,300.6
2,579.8
720.8

6,139.7
2,499.0
8,638.7

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1,566.5
13.2
1,553.3

3,010.0
45.9
2,964.1

1,089.4
1.5
1,090.8

740.1
70.5
669.6

840.0
52.7
787.2

876.7
435.2
441.5

544.6
52.2
492.4

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

15.2
16.5
1.3

160.4
151.9
8.5

136.8
134.3
2.5

1,002.7
1,193.8
191.1

717.8
798.9
81.1

83.9
610.4
694.3

404.0
368.5
772.6

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

7,154.0
....
7,154.0

3,559.6
....
3,559.6

13,964.1
....
13,964.1

17,014.8
....
17,014.8

1,850.5 17,579.6
....
....
1,850.5 17,579.6

2,865.3
....
2,865.3

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

8,030.1
....
8,030.1

5,163.9
....
5,163.9

15,625.5
....
15,625.5

40,720.3
....
40,720.3

23,823.0 13,239.0
....
....
23,823.0 13,239.0

2,938.1
....
2,938.1

D. Net Errors and Omissions............................. 40999S N AA

....

165.2

11.8

762.1

149.6

95.6

55.3

26.2

E. Reserves and Related Items.......................... 4Z999S N AA

....

702.7

1,012.2

249.8

420.2

80.5

257.7

56.1

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

702.7
....
....

1,012.2
....
....

249.8
....
....

420.2
....
....

80.5
....
....

257.7
....
....

56.1
....
....

Conversion rates: Cyprus pounds per U.S.


dollar............................................................. RFZ F B

....

.4641

.4589

.4261

....

....

....

....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Balance on goods and services...................................... 1Z9999 B XN

451.2

884.0

710.6

1,421.5 2,270.2 2,335.0 3,596.6 2,582.9 1,947.2

680.7

1,024.0

1,822.8

512.3

3,867.2

270.6

2,406.8

487.7

2,260.2

537.5

1,246.1

891.5

176.1

313.0

29.9

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
246
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cyprus

423
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
970.9 1,279.4 1,830.9 3,877.6 2,480.1 2,309.2
GOODS AND SERVICES..................................... 1Z9999 B XN
....
451.2
720.9 1,434.9 2,883.5 1,280.9 1,443.7
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
8,046.7
8,552.7 10,285.9 11,379.8
9,458.3
9,517.4
....
8,497.9
9,273.6 11,720.8 14,263.3 10,739.2 10,961.0
. . . . 3,740.5 4,317.5 5,961.0 7,724.6 5,274.6 5,410.4
....
2,045.5 1,979.1 1,986.3 2,206.5 2,024.7 2,281.9
....
1,544.3
1,393.0
1,482.0
1,753.1
1,359.0
1,508.8
....
501.0
586.0
504.3
453.4
665.5
773.1
....
.2
....
.1
....
.2
....
....
5,786.0 6,296.6 7,947.4 9,931.1 7,299.3 7,692.3
....
5,785.0
6,295.3
7,944.9
9,929.3
7,298.0
7,691.6
....
1.0
1.3
2.5
1.8
1.4
.8
....
3,289.3 3,596.6 4,526.1 4,841.1 3,993.7 3,966.7
....
6,001.2
6,573.6
8,299.6
9,173.3
7,433.6
7,235.4
....
2,711.9
2,977.0
3,773.5
4,332.2
3,439.9
3,268.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.2
....
.8
....
35.4
....
....
5.9
38.3
9.6
8.1
76.9
1.9
....
1,547.3 1,663.6 2,124.3 2,679.7 2,149.3 1,923.9
325.6
309.7
422.4
451.7
278.7
262.7
....
....
317.7
443.4
644.3
903.1
851.0
750.8
....
904.0
910.5
1,057.7
1,324.9
1,019.6
910.3
....
1,085.9 1,081.2 1,212.5 1,643.6 1,246.4 1,365.2
69.0
64.2
75.2
302.3
338.1
341.3
....
....
511.4
555.8
701.8
870.4
654.2
744.6
....
505.4
461.3
435.5
470.8
254.1
279.2
....
2,317.8 2,380.9 2,686.0 2,778.5 2,195.5 2,107.8
....
120.1
134.2
198.7
173.3
146.4
136.3
....
2,197.7
2,246.7
2,487.4
2,605.2
2,049.1
1,971.5
....
931.8
966.5 1,479.3 1,592.8 1,299.5 1,116.4
....
17.5
21.9
31.5
328.1
273.7
198.6
....
914.3
944.6
1,447.8
1,264.7
1,025.8
917.8
....
2,135.9 2,529.2 3,488.4 3,715.0 3,053.3 3,203.7
....
165.7
199.2
202.3
160.8
52.7
48.0
....
56.4
113.8
117.6
181.6
96.7
47.3
....
264.4
313.8
735.2
1,209.0
1,128.6
1,086.9
....
15.1
16.0
21.1
12.1
12.0
8.2
....
260.9
288.3
386.8
316.2
208.5
154.4
....
1,007.4
1,157.4
1,449.9
1,528.4
1,305.4
1,638.3
....
41.1
52.9
77.0
52.6
37.3
40.3
....
324.8
387.8
498.4
254.4
212.0
180.4
....
688.3
890.9 1,072.0 1,087.7
817.1
785.3
....
10.9
23.3
28.5
27.5
13.5
16.4
....
65.1
75.6
84.8
78.4
45.8
43.5
....
92.8
131.8
161.6
207.9
131.3
220.7
....
44.7
60.5
55.6
48.5
60.5
30.9
....
123.1
154.0
175.7
171.3
113.7
129.8
....
203.4
291.8
355.5
363.9
313.8
221.9
....
56.0
64.9
81.3
74.3
62.4
33.7
....
92.3
89.0
129.1
115.9
75.9
88.4
....
....
....
....
....
....
....
....
....
....
....

611.8
1,634.8
2,246.6
53.9
185.3
1,580.8
518.8
359.4
120.6
238.9
159.4

764.5
2,139.1
2,903.6
34.5
184.3
2,104.6
607.3
430.4
113.1
317.3
176.9

382.7
4,163.5
4,546.2
43.5
223.4
4,120.0
849.4
599.0
176.2
422.9
250.3

899.2
3,805.5
4,704.7
87.2
386.3
3,718.3
711.6
486.1
126.9
359.2
225.5

928.4
4,031.4
4,959.8
39.3
225.8
3,992.1
1,145.9
871.9
831.4
40.5
274.0

709.5
2,998.4
3,708.0
40.4
209.7
2,958.0
308.7
197.7
395.7
198.0
111.0

2011
775.6
891.5
10,547.2
11,438.8
5,201.0
2,761.4
1,956.9
804.5
....
7,962.4
7,961.7
.7
4,309.5
7,785.8
3,476.3
....
....
.2
37.4
2,112.8

181.4
822.7
1,108.6

1,449.6

404.3
703.6
341.7

2,543.3
115.0
2,428.4
1,209.4
173.1
1,036.3
3,129.6
40.2
37.5
904.4
2.3
102.0
1,822.8
40.3
180.1
779.9
17.3
46.7
143.8
41.1
129.6
275.9
37.4
87.9
403.8
2,100.8
1,697.0
33.5
239.9
2,067.3
573.0
585.9
58.9
644.7
12.9

_______________________________________________________________________________________________________________________________
247
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cyprus

423
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

228.0
37.8
....
....
190.2
834.1
....
834.1
....
....
....
....
2,061.3
1,222.9
1,073.1
535.1
538.1
149.8
249.4
12.3
....
....
237.1
589.0
....
589.0
....
....
....

488.9
76.8
....
....
412.1
1,008.4
....
1,008.4
....
....
....
....
2,719.3
1,646.0
1,425.9
602.3
823.6
220.1
387.2
60.3
....
....
326.9
686.1
....
686.1
....
....
....

1,679.2
144.5
....
....
1,534.7
1,591.4
....
1,591.4
....
....
....
....
4,322.8
2,406.4
2,082.8
1,109.8
973.0
323.6
880.3
351.1
....
....
529.2
1,036.1
....
1,036.1
....
....
....

1,309.0
137.9
....
....
1,171.1
1,697.7
....
1,697.7
....
....
....
....
4,318.4
1,838.7
1,283.6
940.0
343.6
555.0
1,063.1
287.9
....
....
775.2
1,416.7
....
1,416.7
....
....
....

1,184.7
17.1
....
....
1,167.6
1,661.5
....
1,661.5
....
....
....
....
4,734.1
2,550.8
2,069.6
639.3
1,430.3
481.2
807.3
200.8
....
....
606.5
1,375.9
....
1,375.9
....
....
....

1,227.2
26.8
....
....
1,200.4
1,422.2
....
1,422.2
....
....
....
....
3,498.2
1,241.4
1,202.7
1,693.1
490.4
38.7
883.0
452.8
....
....
430.2
1,373.9
....
1,373.9
....
....
....

1,149.7
38.3
....
....
1,111.4
1,490.6
....
1,490.6
....
....
....
....
1,457.1
463.5
490.6
462.6
953.1
27.1
569.3
209.5
....
....
359.8
1,351.3
....
1,351.3
....
....
....

....
....
....
....
....
....
....
....
....
....
....

92.1
631.2
234.5
396.7
50.9
345.8
539.1
210.9
328.2
55.4
272.8

206.0
822.3
308.3
514.0
69.9
444.1
616.2
203.6
412.7
55.2
357.5

13.3
822.3
241.4
580.9
98.7
482.2
835.6
272.9
562.7
81.3
481.4

94.9
918.2
167.6
750.6
147.1
603.5
1,013.1
292.6
720.5
115.0
605.6

270.7
657.0
180.5
476.5
87.7
388.8
927.7
299.9
627.8
119.1
508.6

156.0
950.8
191.7
759.0
94.9
664.1
1,106.8
273.1
833.7
153.6
680.1

287.8
806.7
171.2
635.5
85.0
550.5
1,094.5
342.9
751.6
146.3
605.3

....
....
....
....
....
....
....
....
....
....
....
....
....

86.9
....
....
131.1
46.5
....
46.5
84.7
44.2
11.6
....
11.6
32.6

33.2
....
....
97.8
33.2
....
33.2
64.7
64.6
25.3
....
25.3
39.3

8.1
....
....
87.8
57.8
....
57.8
29.9
79.6
14.0
....
14.0
65.6

10.4
....
....
80.8
59.7
....
59.7
21.1
70.4
9.4
....
9.4
61.0

73.3
....
....
130.1
106.9
....
106.9
23.3
56.9
9.2
....
9.2
47.7

49.0
....
....
89.8
82.7
....
82.7
7.1
40.8
12.3
....
12.3
28.5

65.0
....
18.2
110.0
105.6
....
105.6
4.4
26.8
5.8
....
5.8
21.0

FINANCIAL ACCOUNT........................................ 30999S N AA

....

718.8 1,258.0 2,584.8 4,016.8 2,502.4 2,204.9

736.7

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

614.4
974.6 1,032.5
547.6
897.8 1,263.0
361.1 2,704.2 1,207.0
122.3
2,386.9
784.1
122.3
2,386.9
784.1
....
....
....
....
....
....
238.9
317.3
422.9
56.0
186.5 1,806.5
186.5 1,807.9
56.0
....
1.5
....
....
....
....

203.8
89.9
856.3
211.5
211.5
....
....
644.7
946.1
1,119.1
173.0
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

1,311.9 3,128.2
2,327.1
947.7
1,767.9
126.0
1,408.7
85.4
1,408.7
85.4
....
....
....
....
359.2
40.5
559.2 1,073.7
633.0
166.6
73.8 1,240.3
....
....

114.4
43.7
36.9
235.0
235.0
....
....
198.0
80.7
216.8
136.1
....

_______________________________________________________________________________________________________________________________
248
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cyprus

423
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,162.0
1,041.8
503.8
503.8
....
....
538.1
120.1
120.1
....
....

1,872.4
1,452.8
629.2
629.2
....
....
823.6
419.6
419.6
....
....

2,295.5
1,925.9
952.9
952.9
....
....
973.0
369.6
369.6
....
....

1,015.2
1,019.1
675.4
675.4
....
....
343.6
3.9
250.4
254.3
....

2,180.4
2,334.7
904.4
904.4
....
....
1,430.3
154.3
25.0
129.3
....

70.7
38.3
528.7
528.7
....
....
490.4
32.4
917.4
885.0
....

293.7
309.7
643.5
643.5
....
....
953.1
603.3
602.0
1.3
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

53.7
1,620.3
18.4
....
31.3
....
12.9
....
1,601.9
....
1,601.4
....
.5
....
1,566.5
13.2
....
3.4
....
16.6
....
1,553.3
....
1,797.9
244.6
....
....

148.3
495.6 17,794.4 23,235.5
3,158.4
593.8 17,054.3 24,075.5
31.9
93.6
92.8 6,509.9
....
....
....
....
181.8
175.2
11.1
10.3
....
....
....
....
213.6
268.8
103.9
6,520.3
....
....
....
....
3,190.2
687.4 16,961.6 17,565.6
....
....
1,925.0
253.0
3,189.3
632.5 14,974.5 15,563.3
....
....
....
....
.9
54.9
62.1
2,255.2
....
....
....
....
3,010.0 1,089.4
740.1
840.0
45.9
1.5
70.5
52.7
....
....
....
....
21.9
10.4
102.7
26.4
....
....
....
....
67.8
8.9
32.2
26.3
....
....
....
....
2,964.1 1,090.8
669.6
787.2
....
....
....
....
3,309.6
885.0
902.6
898.2
....
....
184.1
1,720.3
345.5
205.9
48.9
35.0
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

15.2
16.5
1.3

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

160.4
151.9
8.5

136.8
134.3
2.5

1,002.7
1,193.8
191.1

717.8
798.9
81.1

2,423.9 6,684.4
3,300.6 6,139.7
2,579.8 2,499.0
....
....
16.6
60.7
....
....
2,563.2
2,438.3
....
....
720.8 8,638.7
785.3
771.3
2,602.8 8,453.3
....
....
2,538.2
586.0
....
....
876.7
544.6
435.2
52.2
....
....
374.8
22.8
....
....
60.4
29.5
....
....
441.5
492.4
....
....
270.9
228.1
630.5
264.3
81.9
....
....
....
83.9
610.4
694.3

404.0
368.5
772.6

876.1 1,604.3 1,661.4 23,705.6 21,972.5 4,340.6 5,803.5


7,154.0 3,559.6 13,964.1 17,014.8 1,850.5 17,579.6 2,865.3
....
....
....
....
....
....
....
7,154.0 3,559.6 13,964.1 17,014.8 1,850.5 17,579.6 2,865.3
....
....
. . . . 2,401.0
290.9
538.0
235.4
7,807.0
3,857.0 13,601.7 17,876.5
1,604.6 17,516.8
5,139.2
11.2
18.6
38.1
10.0
4.3
55.0
255.4
641.7
278.8
324.4
1,529.2
40.7
655.7 2,764.8
....
....
....
....
....
....
....
8,030.1 5,163.9 15,625.5 40,720.3 23,823.0 13,239.0 2,938.1
....
....
....
....
....
....
....
....
....
....
....
177.0
....
....
8,030.1 5,163.9 15,625.5 40,720.3 23,646.0 13,239.0 2,938.1
1.1
6.6
170.6
9,920.7
23.4
871.2
2,037.6
7,613.5
5,237.1 15,244.8 30,963.6 23,515.5 13,079.5 8,356.4
135.2
28.9
106.2
110.7
22.2
28.4
1,178.8
280.4
108.7
103.9
274.7
129.3
683.3
2,201.8
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

702.7
....
.6
37.3
739.4

1,012.2
....
.3
11.1
1,023.7

249.8
....
.8
6.9
242.2

420.2
....
.7
11.9
431.4

80.5
....
183.7
17.1
120.4

257.7
....
4.1
5.4
267.2

56.1
....
28.0
79.0
163.1

NET ERRORS AND OMISSIONS.........................

....

165.2

11.8

762.1

149.6

95.6

55.3

26.2

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
249
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cyprus

423
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 47,756.8 71,366.8 91,976.0 120,097.6 147,076.6 124,567.3 107,165.7
Direct investment............................................. 8A9999 A AA
....
3,587.2 6,833.9 8,930.8 11,317.1 12,234.8 12,638.9 8,648.6
Equity and investment fund shares................. 8AA000 A AA
....
2,778.0 5,882.2 7,807.3 8,682.8 10,051.8 9,373.9 4,530.6
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,778.0
....
....
809.2
809.2
....
....
13,378.5
2,373.4
....
125.6
....
2,247.8
....
11,005.1
....
10,210.8
....
794.3
....
51.8
26,410.7
....
26,410.7
....
20,778.6
67.5
5,564.6
....
4,328.7
232.4
4.2
31.1
4,061.0

5,882.2
....
....
951.7
951.7
....
....
26,437.3
4,432.4
....
237.5
....
4,195.0
....
22,004.8
....
20,665.1
....
1,339.7
....
506.8
31,724.4
....
31,724.4
....
25,559.4
60.8
6,104.2
....
5,864.6
292.2
4.1
21.2
5,547.1

7,807.3
....
....
1,123.5
1,123.5
....
....
26,033.1
5,012.2
....
49.3
....
4,962.9
....
21,020.9
....
19,581.1
....
1,439.7
....
331.9
50,168.5
....
50,168.5
....
42,780.6
88.3
7,299.7
....
6,511.7
388.7
3.5
15.0
6,104.5

8,682.8
....
....
2,634.3
2,279.6
354.7
....
39,241.8
1,059.1
....
4.5
....
1,054.5
....
38,182.8
3,743.5
33,662.7
....
776.5
....
2,185.0
66,350.2
....
66,350.2
591.5
58,980.4
261.1
6,517.3
....
1,003.4
386.5
2.7
26.9
587.3

10,051.8
....
....
2,183.0
2,164.2
18.8
....
61,708.5
2,865.7
....
2.2
....
2,863.5
....
58,842.8
3,951.9
52,774.4
....
2,116.5
....
1,673.7
70,169.4
....
70,169.4
906.1
63,070.2
244.1
5,949.0
....
1,290.1
493.2
187.1
44.4
565.3

. . . . 44,573.9 64,117.3 89,114.4 123,736.3 154,668.6


....
8,482.8 13,754.0 17,711.4 17,216.7 18,814.3
....
6,092.1 10,654.9 13,881.8 13,566.8 18,170.4
....
6,092.1 10,654.9 13,881.8 13,566.8 18,170.4
....
....
....
....
....
....
....
....
....
....
....
....
....
2,390.8 3,099.0 3,829.5 3,649.9
643.9
....
2,390.8
3,099.0
3,829.5
3,459.3
257.7
....
....
....
....
190.5
386.2
....
....
....
....
....
....
....
8,692.9 13,444.3 14,380.7 12,170.9 14,590.4
....
313.2 1,077.8 1,003.9 2,134.7 3,112.8
....
....
....
....
....
....
....
203.0
807.7
830.7
1,898.1
2,901.2
....
....
....
....
....
....
....
110.3
270.0
173.3
236.6
211.6
....
....
....
....
....
....
....
8,379.7 12,366.6 13,376.7 10,036.2 11,477.6
....
....
....
....
....
....
....
6,437.7 10,545.5 11,315.8
7,665.1
6,753.2
....
1,942.1
1,821.1
2,060.9
2,129.3
4,574.8
....
....
....
....
241.9
149.6
....
....
....
....
....
....

9,373.9
....
....
3,264.9
2,760.5
504.5
....
49,200.7
2,587.8
....
2.7
....
2,585.1
....
46,612.9
4,361.4
38,995.5
....
3,256.0
....
922.1
60,660.4
....
60,660.4
583.0
53,648.9
304.6
6,124.0
....
1,145.2
630.4
188.0
49.1
277.8

4,530.6
....
....
4,118.0
3,664.4
453.6
....
33,186.3
2,318.9
....
4.8
....
2,314.1
....
30,867.4
3,613.1
24,376.9
....
2,877.4
....
1,103.4
63,019.5
....
63,019.5
856.7
56,556.8
547.1
5,059.0
....
1,207.9
703.3
214.2
125.8
164.6

134,825.3 125,751.2
18,121.7 17,196.6
16,577.2 14,887.6
16,577.2 14,887.6
....
....
....
....
1,544.5 2,309.0
1,409.4
1,963.9
135.1
345.1
....
....
10,583.4 9,504.7
2,337.1
955.5
....
....
2,028.0
554.8
....
....
309.1
400.7
....
....
8,246.3 8,549.2
....
....
2,829.5
2,947.1
5,173.8
5,395.0
243.0
207.0
....
....

_______________________________________________________________________________________________________________________________
250
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Cyprus

423
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

....

2005

2006

2007

2008

2009

2010

2011

....
23.0
421.5
481.5 1,178.8 1,066.6
578.0
861.1
. . . . 27,375.2 36,497.5 56,540.9 93,169.9 120,197.2 105,542.1 98,188.9
....
....
....
....
....
....
....
....
....
27.8
29.2
30.7
29.9
208.2
204.5
203.9
. . . . 27,347.4 36,468.3 56,510.2 93,139.9 119,989.0 105,337.6 97,985.0
....
41.7
51.3
39.7
9,254.7 10,520.2
8,744.7 10,340.3
. . . . 24,673.6 33,467.9 53,035.4 80,422.7 105,012.8 92,189.1 81,080.5
....
754.3
864.5
1,077.6
1,152.0
1,165.3
1,098.9
2,084.4
....
1,877.8
2,084.6
2,357.5
2,310.5
3,290.7
3,304.9
4,479.7
....
....
....
....
....
....
....
....
2,861.6 3,638.7 7,592.0 10,258.0 18,585.5

....

3,182.9

7,249.5

Conversion rates: Cyprus pounds per U.S.


dollar (end of period).................................... AEZ F B

....

.4844

.4391

.3978

....

....

....

....

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

80999S N AA

_______________________________________________________________________________________________________________________________
251
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Czech Republic

935
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
1,210
3,130
7,940
4,774
4,849
7,602

6,349

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

64,535
63,700

78,385
77,047

98,787
98,005

116,322
116,175

93,252
89,620

108,282
106,145

131,416
126,987

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

12,990
10,164

15,376
11,976

18,805
14,429

23,358
17,429

20,215
15,362

21,374
16,778

23,666
19,003

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

4,423
9,766

1,683

5,728
13,110

2,645

7,545
20,240

7,537

10,212
20,756

4,467

5,167
18,349

4,696

4,815
19,623

8,075

5,439
21,040

6,510

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

2,959
2,486

2,218
2,704

2,949
3,352

3,894
4,201

3,711
3,864

4,617
4,144

4,836
4,675

B. Capital Account........................................... 20999F B AA

....

229

446

1,127

1,620

2,731

1,686

797

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

350
121

980

773
327

2,685

1,239
112

6,813

2,424
804

3,154

4,039
1,308

2,118

1,997
311

5,916

1,133
336

5,552

C. Financial Account......................................... 30999F N AA

....

6,588

4,540

6,404

5,404

9,049

9,054

5,147

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

27
167
193

1,479
1,514
35

1,642
1,299
344

4,315
4,430
115

917
806
111

1,201
834
366

1,151
1,054
97

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

11,602
10,894
708

5,522
5,804
282

10,606
9,470
1,136

6,573
3,505
3,067

2,869
4,586
1,717

6,119
6,324
205

5,380
4,547
833

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

3,467
1,472
1,994

3,004
1,938
1,066

4,849
3,213
1,635

498
794
296

3,419
1,091
2,328

632
113
745

818
132
950

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

79
1,540
1,619

1,877
268
1,608

2,161
268
2,430

458
1,124
1,582

5,169
311
5,480

7,098
232
7,330

1,180
2
1,182

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

8
353
345

30
619
589

66
1,279
1,214

9
3,505
3,495

34
2,528
2,493

163
3,497
3,660

132
1,467
1,598

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

4,728
....
4,728

1,480
....
1,480

7,129
....
7,129

5,359
....
5,359

777
....
777

4,379
....
4,379

2,838
....
2,838

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

3,068
....
3,068

5,608

3,074
....
3,074

1,855

7,191
....
7,191

8,536
....
8,536

2,301
....
2,301

6,931

947
....
947

3,138

3,526
....
3,526

D. Net Errors and Omissions............................. 40999S N AA

....

1,729

1,763

1,280

169

2,646

1,061

595

E. Reserves and Related Items.......................... 4Z999S N AA

....

3,879

92

872

2,420

4,285

2,076

1,000

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

3,879
....
....

92
....
....

872
....
....

2,420
....
....

4,285
....
....

2,076
....
....

1,000
....
....

Conversion rates: Czech koruny per U.S.


dollar............................................................. RFZ F B

....

23.957

22.596

20.294

17.072

19.063

19.098

17.696

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

835

3,661

2006

1,338

4,737

2007

783

5,158

409

2008

147

6,076

2,251

2009

3,633

8,486

2,138

6,733

4,428

9,091

405

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
252
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Czech Republic

935
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
1,210
3,130
7,940
4,774
4,849
7,602
GOODS AND SERVICES..................................... 1Z9999 B XN
....
3,661
4,737
5,158
6,076
8,486
6,733
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

77,525
73,864
835
64,535
64,518
4
14
63,700
63,687
13
2,825
12,990
10,164
1,161
80
....
....
2,954

93,760
89,023
1,338
78,385
78,418
48
14
77,047
77,023
24
3,400
15,376
11,976
1,155
44
....
....
3,488

117,592
112,434
783
98,787
98,989
224
22
98,005
97,972
33
4,376
18,805
14,429
1,192
39
....
....
4,531

139,680
133,604
147
116,322
116,125
164
34
116,175
116,117
58
5,929
23,358
17,429
1,643
80
....
....
5,452

113,468
104,982
3,633
93,252
92,884
327
42
89,620
89,551
69
4,853
20,215
15,362
1,097
174
....
....
4,738

129,656
122,923
2,138
108,282
107,904
296
82
106,145
106,018
126
4,595
21,374
16,778
728
235
....
....
5,148

6,349
9,091
155,082
145,990
4,428
131,416
131,267
15
133
126,987
126,761
226
4,663
23,666
19,003
592
308
....
....
5,524

2,234

2,716

3,521

4,303

3,535

4,421

5,130

4,813
1,128
3,685
2,405
465
1,940
4,062
236
64
424
40
1,004
2,169
91
35
5,605
188
317
906
504
836
2,655
92
108

5,884
1,179
4,705
2,765
490
2,276
4,849
222
76
391
32
1,349
2,627
118
35
6,539
179
307
1,090
551
931
3,273
133
75

6,915
1,674
5,241
3,577
591
2,986
6,166
327
99
300
36
1,523
3,653
192
36
7,370
190
333
745
694
1,282
3,873
165
88

7,857
2,384
5,473
4,652
851
3,801
8,406
478
212
181
57
1,951
5,353
124
51
8,554
395
469
602
768
1,460
4,562
175
123

7,013
1,856
5,156
4,077
677
3,400
7,368
492
238
66
99
1,831
4,471
135
37
7,924
276
377
331
743
1,583
4,374
142
98

7,121
1,887
5,234
4,064
608
3,455
8,377
978
274
66
105
1,740
4,986
196
32
8,528
619
405
60
771
1,792
4,556
238
88

7,628
1,976
5,652
4,573
885
3,688
9,922
855
295
91
107
2,245
6,030
255
43
9,609
540
481
70
990
1,862
5,314
252
98

....
....
....
....
....
....
....
....
....
....
....

5,343
4,423
9,766
949
786
3,474
489
479
634
155
10

7,382
5,728
13,110
1,109
966
4,620
685
678
167
511
6

12,695
7,545
20,240
1,226
1,416
6,319
1,359
1,355
341
1,015
3

10,543
10,212
20,756
1,320
2,443
8,892
3,973
3,967
549
3,418
6

13,182
5,167
18,349
1,345
1,903
3,822
825
822
349
472
4

14,808
4,815
19,623
1,331
1,361
3,484
1,087
1,083
495
588
4

15,601
5,439
21,040
1,085
1,269
4,354
1,366
1,361
347
1,014
5

959
1,691
304
198
1,481
554

818
2,231
438
109
1,988
620

860
2,848
824
127
2,554
839

1,014
3,403
1,035

145
3,225
933

923
2,895
921

81
2,409
1,045

896
3,291
962

102
3,129
1,190

834
3,679
1,012

87
3,649
1,393

_______________________________________________________________________________________________________________________________
253
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Czech Republic

935
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

748
133
....
....
615
2,236
....
2,236
....
....
....
....
8,979
6,641
6,274
3,009
3,265
367
483
178
....
....
305
1,856
....
1,856
....
452
183

1,032
242
....
....
791
2,903
....
2,903
....
....
....
....
12,144
9,219
8,859
4,997
3,863
359
847
442
....
....
405
2,078
....
2,078
....
534
187

1,362
423
....
....
938
3,599
....
3,599
....
....
....
....
18,824
15,368
14,908
7,961
6,947
460
926
246
....
....
681
2,529
....
2,529
....
924
246

742
139
....
....
603
4,177
....
4,177
....
....
....
....
18,313
14,073
13,500
11,071
2,429
573
1,263
566
....
....
698
2,977
....
2,977
....
823
304

666
141
....
....
525
2,331
....
2,331
....
....
....
....
16,446
13,619
12,983
9,411
3,572
635
1,125
348
....
....
777
1,702
....
1,702
....
....
232

485
52
....
....
433
1,912
....
1,912
....
....
....
....
18,262
15,277
14,425
10,444
3,981
852
1,399
427
....
....
972
1,586
....
1,586
....
1,344
252

808
126
....
....
682
2,180
....
2,180
....
....
....
....
19,770
16,378
15,461
10,443
5,018
917
1,810
557
....
....
1,253
1,582
....
1,582
....
1,520
306

....
....
....
....
....
....
....
....
....
....
....

473
2,959
1,373
1,586
511
1,075
2,486
1,430
1,056
376
680

486
2,218
1,441
777
579
198
2,704
1,539
1,165
495
670

403
2,949
1,947
1,001
671
330
3,352
1,815
1,537
659
877

306
3,894
2,893
1,001
723
278
4,201
2,362
1,839
906
933

153
3,711
2,740
970
672
299
3,864
2,189
1,675
842
833

473
4,617
3,547
1,069
685
385
4,144
2,237
1,907
915
992

161
4,836
3,786
1,049
729
320
4,675
2,730
1,944
1,030
915

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

229
65
77
286
217
....
217
68
44
18
11
7
26

446
157
83
616
539
....
539
77
244
206
196
10
38

1,127
77
62
1,162
1,024
....
1,024
138
50
22
10
12
28

1,620
839
695
1,585
1,460
....
1,460
125
109
97
80
17
12

2,731
2,107
1,258
1,931
1,870
....
1,870
61
50
26
13
13
24

1,686
673
262
1,324
1,274
....
1,274
50
50
19
....
19
31

797
454
306
679
645
....
645
35
30
15
....
15
15

FINANCIAL ACCOUNT........................................ 30999S N AA

....

2,709

4,448

5,533

2,984

4,764

6,978

6,147

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

11,629
27
167
321
321
....
....
155
193
193
....
....

4,043
1,479
1,514
1,003
1,003
....
....
511
35
35
....
....

8,964
1,642
1,299
284
284
....
....
1,015
344
344
....
....

2,258
4,315
4,430
1,012
1,012
....
....
3,418
115
115
....
....

1,952
917
806
334
334
....
....
472
111
111
....
....

4,918
1,201
834
246
246
....
....
588
366
366
....
....

4,229
1,151
1,054
40
40
....
....
1,014
97
97
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
254
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Czech Republic

935
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

11,602
10,894
7,629
7,629
....
....
3,265
708
708
....
....

5,522
5,804
1,941
1,941
....
....
3,863
282
282
....
....

10,606
9,470
2,523
2,523
....
....
6,947
1,136
1,136
....
....

6,573
3,505
1,077
1,077
....
....
2,429
3,067
3,067
....
....

2,869
4,586
1,014
1,014
....
....
3,572
1,717
1,717
....
....

6,119
6,324
2,343
2,343
....
....
3,981
205
205
....
....

5,380
4,547
471
471
....
....
5,018
833
833
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,388
3,467
1,472
....
10
5
1,458
....
1,994
....
878
124
992
....
79
1,540
....
54
54
1,595
....
1,619
....
95
2,101
387
....

1,127
3,004
1,938
....
174
....
1,764
....
1,066
....
757
....
310
....
1,877
268
....
102
102
371
....
1,608
....
300
....
1,308
....

2,687
4,849
3,213
....
277
....
2,936
....
1,635
....
665
....
971
....
2,161
268
....
245
245
513
....
2,430
....
319
....
2,111
....

40
498
794
....
330
....
464
....
296
....
672
....
375
....
458
1,124
....
775
775
350
....
1,582
....
367
2,334
3,550
....

8,588
3,419
1,091
....
131
3
963
....
2,328
....
2,135
34
159
....
5,169
311
....
34
34
277
....
5,480
....
626
2,336
2,518
....

7,731
632
113
....
9
1
121
....
745
....
1,029
38
323
....
7,098
232
....
20
20
211
....
7,330
....
293
4,064
2,973
....

362
818
132
....
81
8
221
....
950
....
135
59
1,026
....
1,180
2
....
83
83
81
....
1,182
....
8
155
1,018
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

8
353
345

30
619
589

66
1,279
1,214

9
3,505
3,495

34
2,528
2,493

163
3,497
3,660

132
1,467
1,598

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,660
4,728
....
4,728
7
4,599
583
705
....
3,068
....
....
3,068
204
536
951
1,376
....

1,594
1,480
....
1,480
....
527
217
2,224
....
3,074
....
....
3,074
172
792
465
1,989
....

62
7,129
....
7,129
....
6,672
56
401
....
7,191
....
....
7,191
28
5,826
145
1,248
....

3,177
5,359
....
5,359
....
3,532
8
1,835
....
8,536
....
....
8,536
26
4,552
494
3,464
....

1,525
777
....
777
....
2,207
5
1,435
....
2,301
....
1,220
3,521
99
3,626
690
685
....

3,432
4,379
....
4,379
....
2,438
9
1,950
....
947
....
....
947
20
2,001
816
1,851
....

687
2,838
....
2,838
22
1,133
4
3,998
....
3,526
....
....
3,526
135
319
172
3,169
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

3,879
....
7
201
4,072

92
....
4
76
164

872
....
3
31
900

2,420
....
2
77
2,341

4,285
....
1,221
75
2,989

2,076
....
1
108
1,967

1,000
....
70
322
1,252

NET ERRORS AND OMISSIONS.........................

....

1,729

1,763

1,280

169

2,646

1,061

595

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
255
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Czech Republic

935
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
76,273
90,451 117,195 122,751 126,225 129,218
Direct investment............................................. 8A9999 A AA
....
3,610
5,017
8,557
12,531
14,805
14,923
Equity and investment fund shares................. 8AA000 A AA
....
3,256
4,634
7,757
11,851
13,975
13,765
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,256
....
....
354
354
....
....
19,026
5,977
....
300
160
5,517
....
13,049
....
7,755
249
5,045
....
1,731
22,351
....
22,351
132
14,524
1,562
6,133
....
29,555
225
12
181
29,138

4,634
....
....
383
383
....
....
25,492
9,692
....
582
194
8,916
....
15,800
....
9,306
118
6,376
....
2,558
25,929
....
25,929
150
15,400
1,432
8,947
....
31,454
273
17
111
31,054

7,757
....
....
800
800
....
....
34,220
14,204
....
1,053
196
12,955
....
20,016
....
11,121
216
8,679
....
3,846
35,666
....
35,666
163
24,170
1,513
9,819
....
34,905
356
20
84
34,445

11,851
....
....
680
680
....
....
26,111
9,806
....
656
126
9,024
....
16,305
....
9,614
158
6,533
....
8,187
38,910
....
38,910
168
25,650
1,627
11,465
....
37,013
358
21
162
36,472

13,975
....
....
829
829
....
....
24,847
10,148
....
173
159
9,815
....
14,699
....
7,618
100
6,982
....
6,501
38,462
....
38,462
180
24,315
1,609
12,358
....
41,611
454
1,245
241
39,670

13,765
....
....
1,158
1,158
....
....
24,180
11,046
....
162
142
10,741
....
13,133
....
5,877
58
7,198
....
6,019
41,604
....
41,604
202
25,947
1,589
13,866
....
42,493
584
1,224
349
40,335

128,652
15,470
14,312
14,312
....
....
1,158
1,158
....
....
22,619
9,492
....
213
123
9,156
....
13,127
....
5,171
137
7,819
....
7,533
42,740
....
42,740
571
23,797
1,415
16,957
....
40,291
620
1,152
664
37,854

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

110,332
60,662
53,526
53,526
....
....
7,136
7,136
....
....
17,806
8,968
....
2,507
....
6,461
....
8,838
....
613
6,905
1,320
....

142,361
79,841
71,731
71,731
....
....
8,110
8,110
....
....
23,376
11,573
....
2,407
....
9,166
....
11,803
....
808
8,895
2,100
....

195,628
112,408
101,914
101,914
....
....
10,494
10,494
....
....
30,775
14,521
....
3,153
....
11,369
....
16,253
....
1,239
11,534
3,479
....

202,614
113,174
100,821
100,821
....
....
12,352
12,352
....
....
26,264
9,293
....
2,069
....
7,223
....
16,971
....
1,489
11,452
4,031
....

221,517
125,827
113,464
113,464
....
....
12,364
12,364
....
....
35,575
11,411
....
2,965
....
8,446
....
24,164
....
2,149
15,207
6,808
....

228,035
128,504
116,650
116,650
....
....
11,854
11,854
....
....
41,642
10,627
....
3,264
....
7,363
....
31,014
....
2,561
19,176
9,277
....

224,889
125,245
113,728
113,728
....
....
11,517
11,517
....
....
40,113
9,330
....
2,235
....
7,095
....
30,783
....
2,583
18,283
9,917
....

_______________________________________________________________________________________________________________________________
256
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Czech Republic

935

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Czech koruny per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

1,296
30,568
....
....
30,568
243
10,288
2,217
17,820
....

1,748
37,396
....
....
37,396
87
12,267
3,084
21,959
....

2,999
49,446
....
....
49,446
68
19,894
3,793
25,691
....

8,268
54,909
....
....
54,909
92
23,447
3,974
27,395
....

6,174
53,940
....
1,223
52,717
204
20,191
4,869
27,454
....

5,339
52,550
....
1,202
51,349
201
21,426
5,595
24,126
....

6,720
52,812
....
1,198
51,614
79
20,801
5,491
25,242
....

....

34,059

51,910

78,433

79,863

95,291

98,817

96,237

....

24.588

20.876

18.078

19.346

18.368

18.751

19.940

_______________________________________________________________________________________________________________________________
257
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Denmark

128
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
11,104
8,218
4,769
10,001
10,402
17,134

21,568

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

82,486
75,153

90,732
87,684

100,720
100,329

115,137
114,227

92,176
84,230

95,771
87,127

111,693
102,502

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

43,371
37,002

13,702

52,308
45,232

10,124

61,965
53,998

8,359

72,778
62,583

11,105

55,276
50,786

12,436

60,405
51,894

17,154

65,514
56,679

18,027

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

24,929
23,331

15,300

27,764
24,910

12,978

34,639
32,901

10,098

38,523
33,958

15,670

25,604
22,293

15,748

27,218
21,446

22,925

35,046
25,666

27,406

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

3,562
7,758

3,577
8,336

3,928
9,257

4,657
10,327

4,598
9,944

3,991
9,783

4,467
10,305

B. Capital Account........................................... 20999F B AA

....

518

50

73

37

105

808

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

1,032
514

11,622

458
452

8,225

435
385

493
420

486
524

471
367

1,204
396

C. Financial Account......................................... 30999F N AA

....

10,579

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

16,206
11,753
4,453

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

7,333

2006

3,048

2007

391

2008

910

2009

7,946

8,643

9,192

4,819

10,074

10,365

17,238

22,377

8,609

4,125

10,498

26,359

2,709

15,104

8,146
8,167
21

19,995
14,137
5,858

14,324
4,952
19,276

5,861
6,734
873

3,310
1,828
1,482

23,920
13,117
10,804

12,834
10,441
2,393

2,420
3,624
6,044

11,809
9,875
1,934

2,191
1,161
3,352

3,918
1,484
2,435

7,697
4,813
2,884

15,192
13,602
1,590

....
....
....

33,037
14,239
18,798

26,086
22,032
4,054

27,522
8,851
18,671

8,757
9,139
17,896

23,423
8,472
14,951

15,943
4,342
11,601

6,827
886
7,713

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

21,081
3,005
24,086

9,240
5,453
14,694

20,048
2,607
17,441

17,943
2,787
15,156

34,908
7,222
27,685

12,874
7,262
5,613

3,519
2,383
1,136

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

2,161
2,161
....

2,636
2,636
....

136
136
....

5,498
5,498
....

2,536
2,536
....

4,012
4,012
....

46
46
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

19,973
....
19,973

24,098
....
24,098

45,484
....
45,484

22,491
....
22,491

36,289
....
36,289

7,935
....
7,935

9,963
....
9,963

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

22,561
....
22,561

35,425
....
35,425

56,882
....
56,882

694

30,439
....
30,439

20,572

22,008
....
22,008

20,707
....
20,707

19,694
....
19,694

D. Net Errors and Omissions............................. 40999S N AA

....

2,549

5,604

905

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,506

5,988

211

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,506
....
....

5,988
....
....

Conversion rates: Danish kroner per U.S.


dollar............................................................. RFZ F B

....

5.9969

5.9468

1,043

384

36,723

19,947

7,272

13,148

3,053

15,667

3,282

7,423

33,670

4,279

10,554

211
....
....

7,423
....
....

33,670
....
....

4,279
....
....

10,554
....
....

5.4437

5.0981

5.3609

5.6241

5.3687

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
258
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Denmark

128
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
11,104
8,218
4,769
10,001
10,402
17,134
GOODS AND SERVICES..................................... 1Z9999 B XN
....
13,702
10,124
8,359
11,105
12,436
17,154
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

125,857
112,155
7,333
82,486
82,486
....
....
75,153
75,153
....
6,369
43,371
37,002
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

143,040
132,916
3,048
90,732
90,732
....
....
87,684
87,684
....
7,076
52,308
45,232
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

162,685
154,326
391
100,720
100,720
....
....
100,329
100,329
....
7,968
61,965
53,998
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

187,915
176,810
910
115,137
115,137
....
....
114,227
114,227
....
10,195
72,778
62,583
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

147,452
135,016
7,946
92,176
92,176
....
....
84,230
84,230
....
4,490
55,276
50,786
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

156,176
139,022
8,643
95,771
95,771
....
....
87,127
87,127
....
8,510
60,405
51,894
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

21,568
18,027
177,207
159,180
9,192
111,693
111,693
....
....
102,502
102,502
....
8,835
65,514
56,679
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,598
24,929
23,331
867
1,488
24,062
13,592
11,910
6,873
5,037
1,682

2,854
27,764
24,910
982
1,766
26,782
12,601
10,768
8,244
2,523
1,833

1,738
34,639
32,901
819
3,019
33,820
14,881
12,832
7,682
5,150
2,049

4,565
38,523
33,958
1,295
3,977
37,227
15,021
12,025
12,400
375
2,996

3,311
25,604
22,293
1,214
3,359
24,390
11,573
9,330
11,307
1,977
2,243

5,771
27,218
21,446
1,184
2,888
26,034
14,431
12,680
12,551
130
1,750

9,379
35,046
25,666
1,289
3,157
33,757
20,074
17,841
8,884
8,957
2,233

_______________________________________________________________________________________________________________________________
259
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Denmark

128
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

6,654
1,729
....
....
4,925
3,817
....
3,817
....
....
....
....
21,844
10,918
9,576
7,818
1,759
1,341
6,907
1,201
....
....
5,706
4,019
....
4,019
....
....
....

9,015
4,093
....
....
4,922
5,166
....
5,166
....
....
....
....
23,144
8,671
6,907
7,049
142
1,764
7,921
1,656
....
....
6,265
6,552
....
6,552
....
....
....

10,489
5,069
....
....
5,421
8,450
....
8,450
....
....
....
....
29,882
11,238
8,945
8,572
372
2,294
8,435
1,106
....
....
7,328
10,209
....
10,209
....
....
....

11,917
5,148
....
....
6,769
10,290
....
10,290
....
....
....
....
29,981
8,767
6,049
10,019
3,970
2,718
9,404
1,598
....
....
7,806
11,810
....
11,810
....
....
....

8,984
2,581
....
....
6,404
3,832
....
3,832
....
....
....
....
18,934
6,840
4,806
7,842
3,036
2,034
7,985
864
....
....
7,121
4,108
....
4,108
....
....
....

8,967
3,029
....
....
5,938
2,636
....
2,636
....
....
....
....
18,558
8,540
7,014
7,197
183
1,526
7,504
863
....
....
6,641
2,513
....
2,513
....
....
....

10,186
3,624
....
....
6,562
3,497
....
3,497
....
....
....
....
22,509
10,546
9,125
4,915
4,210
1,421
9,180
1,331
....
....
7,849
2,783
....
2,783
....
....
....

....
....
....
....
....
....
....
....
....
....
....

4,196
3,562
....
....
....
....
7,758
....
....
....
....

4,760
3,577
....
....
....
....
8,336
....
....
....
....

5,329
3,928
....
....
....
....
9,257
....
....
....
....

5,670
4,657
....
....
....
....
10,327
....
....
....
....

5,346
4,598
....
....
....
....
9,944
....
....
....
....

5,792
3,991
....
....
....
....
9,783
....
....
....
....

5,838
4,467
....
....
....
....
10,305
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

518
....
....
....
....
....
....
....
....
....
....
....
....

6
....
....
....
....
....
....
....
....
....
....
....
....

50
....
....
....
....
....
....
....
....
....
....
....
....

73
....
....
....
....
....
....
....
....
....
....
....
....

37
....
....
....
....
....
....
....
....
....
....
....
....

105
....
....
....
....
....
....
....
....
....
....
....
....

808
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

9,073

2,621

3,914

3,075

7,312

1,571

25,659

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

3,372
16,206
11,753
6,716
6,716
....
....
5,037
4,453
4,453
....
....

5,726
8,146
8,167
5,644
5,644
....
....
2,523
21
21
....
....

8,186
19,995
14,137
8,987
8,987
....
....
5,150
5,858
5,858
....
....

12,133
14,324
4,952
4,577
4,577
....
....
375
19,276
19,276
....
....

1,943
5,861
6,734
8,711
8,711
....
....
1,977
873
873
....
....

11,007
3,310
1,828
1,698
1,698
....
....
130
1,482
1,482
....
....

8,729
23,920
13,117
4,160
4,160
....
....
8,957
10,804
10,804
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
260
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Denmark

128
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

12,834
10,441
8,682
8,682
....
....
1,759
2,393
2,393
....
....

2,420
3,624
3,482
3,482
....
....
142
6,044
6,044
....
....

11,809
9,875
9,503
9,503
....
....
372
1,934
1,934
....
....

2,191
1,161
2,809
2,809
....
....
3,970
3,352
3,352
....
....

3,918
1,484
4,519
4,519
....
....
3,036
2,435
2,435
....
....

7,697
4,813
4,630
4,630
....
....
183
2,884
2,884
....
....

15,192
13,602
9,392
9,392
....
....
4,210
1,590
1,590
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

11,956
33,037
14,239
5
2,595
8
11,641
....
18,798
....
809
47
19,560
....
21,081
3,005
....
211
....
2,794
....
24,086
....
25,294
2,395
1,187
....

16,846
26,086
22,032
....
2,015
4
20,013
....
4,054
....
6,093
18
2,021
....
9,240
5,453
....
1,322
....
6,776
....
14,694
....
20,229
5,683
148
....

7,474
27,522
8,851
....
1,696
9
10,538
....
18,671
....
6,905
33
11,733
....
20,048
2,607
....
1,694
....
4,302
....
17,441
....
19,946
833
3,338
....

9,186
8,757
9,139
....
881
274
8,532
....
17,896
....
5,708
24
12,212
....
17,943
2,787
....
1,062
....
3,849
....
15,156
....
7,824
8,959
1,627
....

11,485
23,423
8,472
11
776
129
9,366
....
14,951
....
3,845
281
18,514
....
34,908
7,222
....
1,495
....
5,727
....
27,685
....
19,199
5,134
3,353
....

3,069
15,943
4,342
9
508
47
4,888
....
11,601
....
5,246
68
16,779
....
12,874
7,262
....
802
....
6,460
....
5,613
....
3,605
1,520
489
....

3,308
6,827
886
....
1,103
35
1,954
....
7,713
....
620
5
7,098
....
3,519
2,383
....
2,258
....
4,641
....
1,136
....
17,118
14,526
1,457
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

2,161
2,161
....

2,636
2,636
....

136
136
....

5,498
5,498
....

2,536
2,536
....

4,012
4,012
....

46
46
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,588
19,973
....
19,973
....
20,658
473
212
....
22,561
....
....
22,561
116
14,496
7
7,942
....

11,328
24,098
....
24,098
....
23,687
147
264
....
35,425
....
....
35,425
280
25,764
14
9,396
....

11,399
45,484
....
45,484
....
43,016
195
2,662
....
56,882
....
....
56,882
246
57,260
2
625
....

7,947
22,491
....
22,491
....
22,051
78
518
....
30,439
....
....
30,439
20,935
8,959
55
18,517
....

14,281
36,289
....
36,289
....
34,072
111
2,328
....
22,008
....
2,113
24,120
20,910
6,614
20
3,424
....

12,772
7,935
....
7,935
....
4,990
96
2,849
....
20,707
....
....
20,707
494
10,232
43
10,926
....

9,730
9,963
....
9,963
....
11,571
48
1,560
....
19,694
....
....
19,694
32
6,714
13
12,960
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,506
....
71
474
1,102

5,988
....
225
98
6,115

211
....
23
60
127

7,423
....
5
152
7,276

33,670
....
2,052
316
31,302

4,279
....
1
186
4,091

10,554
....
95
513
10,136

NET ERRORS AND OMISSIONS.........................

....

2,549

5,604

905

13,148

3,053

15,667

3,282

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
261
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Denmark

128
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 496,723 597,555 739,950 710,335 782,547 818,880
Direct investment............................................. 8A9999 A AA
. . . . 129,634 148,132 184,870 194,833 213,069 219,125
Equity and investment fund shares................. 8AA000 A AA
....
89,502 102,285 128,157 123,014 140,580 146,588
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
40,132
33,054
7,077
....
196,731
88,374
209
6,104
208
81,853
....
108,357
....
15,805
106
92,446
....
13,497
122,803
....
122,803
....
109,336
3,052
10,415
....
34,057
1,098
112
309
32,539

....
....
....
45,847
34,752
11,095
....
251,885
132,047
239
9,090
186
122,531
....
119,838
....
24,159
88
95,591
....
8,350
157,970
....
157,970
....
143,102
3,570
11,298
....
31,218
1,360
342
222
29,294

....
....
....
56,713
46,354
10,359
....
301,287
156,798
268
10,401
64
146,064
....
144,489
....
32,444
110
111,935
....
8
219,409
....
219,409
....
200,409
3,784
15,216
....
34,392
1,790
335
171
32,097

....
....
....
71,819
61,053
10,765
....
233,540
85,220
255
5,473
227
79,265
....
148,320
....
34,723
56
113,542
....
15,741
223,793
....
223,793
....
204,835
3,556
15,403
....
42,428
1,851
320
323
39,935

....
....
....
72,489
59,203
13,286
....
296,600
118,115
275
6,472
285
111,083
....
178,485
....
34,164
379
143,942
....
4,117
191,976
....
191,976
....
175,241
3,749
12,987
....
76,783
2,362
2,384
648
71,389

....
....
....
72,537
60,670
11,867
....
324,655
136,127
288
5,645
265
129,928
....
188,528
....
27,419
439
160,671
....
6,566
191,825
....
191,825
....
171,057
3,559
17,209
....
76,709
3,017
2,343
826
70,522

823,554
229,546
146,901
....
....
....
82,646
70,470
12,175
....
309,753
128,198
309
4,616
277
122,996
....
181,555
....
26,528
436
154,591
....
20,999
178,025
....
178,025
....
156,452
3,597
17,977
....
85,231
3,369
2,244
1,327
78,292

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

487,386
116,124
79,747
....
....
....
36,377
25,263
11,114
....
210,159
49,097
....
8,574
....
40,522
....
161,062
....
105,681
34,989
20,392
....

598,337
132,759
85,056
....
....
....
47,703
35,599
12,104
....
251,128
62,886
....
12,691
....
50,196
....
188,241
....
134,354
31,836
22,052
....

759,486
161,478
106,919
....
....
....
54,558
38,435
16,124
....
304,533
83,207
....
9,788
....
73,419
....
221,326
....
165,017
35,777
20,532
....

727,501
151,947
96,646
....
....
....
55,301
35,745
19,557
....
272,439
45,674
....
2,026
....
43,648
....
226,765
....
164,874
45,086
16,805
....

770,874
154,032
95,670
....
....
....
58,361
36,767
21,594
....
329,374
66,976
....
5,863
....
61,114
....
262,398
....
189,223
51,337
21,839
....

780,060
139,769
87,553
....
....
....
52,216
30,938
21,277
....
348,590
92,725
....
7,398
....
85,327
....
255,865
....
183,671
50,691
21,503
....

739,167
139,914
87,532
....
....
....
52,382
29,424
22,958
....
333,573
78,284
....
5,177
....
73,107
....
255,288
....
166,704
65,656
22,928
....

_______________________________________________________________________________________________________________________________
262
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Denmark

128
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Danish kroner per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
161,104
....
256
160,849
405
128,731
296
31,416
....

....
214,450
....
269
214,181
723
167,684
195
45,579
....

....
293,476
....
283
293,193
1,016
241,450
121
50,606
....

....
303,115
....
275
302,839
22,866
215,781
67
64,126
....

....
287,469
....
2,401
285,068
966
213,593
45
70,464
....

....
291,701
....
2,359
289,343
819
212,824
82
75,617
....

....
265,681
....
2,351
263,330
822
200,944
94
61,470
....

....

9,336

782

19,536

17,166

11,673

38,820

84,387

....

6.3241

5.6614

5.0753

5.2849

5.1901

5.6133

5.7456

_______________________________________________________________________________________________________________________________
263
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Djibouti

611
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
20.1
16.6
171.4
225.4
71.1
50.5

171.8

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

52.4

95.3

250.6

305.2

157.2

54.8

246.0

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

78.3
5.8

85.5
6.8

85.9
6.7

87.2
7.3

92.2
6.1

118.8
13.5

92.1
17.9

B. Capital Account........................................... 20999F B AA

....

26.8

9.3

35.3

53.7

55.1

55.3

59.7

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

26.8
....

46.9

9.3
....

7.3

35.3
....

136.1

53.7
....

171.6

55.1
....

16.0

55.3
....

105.8

59.7
....

112.2

C. Financial Account......................................... 30999F N AA

....

32.8

63.7

73.4

219.9

59.6

4.2

140.8

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

22.2
22.2
....

108.3
108.3
....

195.4
195.4
....

227.7
227.7
....

96.9
96.9
....

36.5
36.5
....

79.0
79.0
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

65.1
....
65.1

62.0
....
62.0

148.3
....
148.3

18.5
....
18.5

205.5
....
205.5

87.8
....
87.8

48.8
....
48.8

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

10.2
....
10.2

14.1

17.5
....
17.5

56.5

26.3
....
26.3

26.2
....
26.2

49.0
....
49.0

55.5
....
55.5

13.0
....
13.0

D. Net Errors and Omissions............................. 40999S N AA

....

45.4

51.8

37.6

E. Reserves and Related Items.......................... 4Z999S N AA

....

31.3

4.7

25.1

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

7.4
.8
24.7

30.4
1.6
27.3

Conversion rates: Djibouti francs per U.S.


dollar............................................................. RFZ F B

....

177.72

177.72

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

39.5
277.3

55.2
335.7

53.1
473.2

63.8
574.1

71.8
450.7

78.7
373.9

85.0
510.6

237.8

280.5

420.1

510.4

378.9

295.2

425.6

248.4
83.8

251.5
89.3

241.0
95.4

289.0
116.5

314.0
114.0

327.6
104.5

318.7
147.8

73.2

118.4

274.4

337.9

178.9

72.2

254.7

32.0
11.2

34.9
11.8

35.2
11.3

45.6
12.9

37.0
15.3

32.8
15.4

36.7
27.9

62.7

48.3

75.6

110.0

28.6

57.2

50.2

112.9

67.6

9.0

25.4

2.8

38.9

13.5
2.8
41.4

43.7
1.7
51.0

44.3
1.9
71.6

13.6
3.3
19.8

2.4
4.3
32.2

177.72

177.72

177.72

177.72

177.72

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
264
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Djibouti

611
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
20.1
16.6
171.4
225.4
71.1
50.5
GOODS AND SERVICES..................................... 1Z9999 B XN
....
73.2
118.4
274.4
337.9
178.9
72.2
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

287.9
361.1
237.8
39.5
39.5
....
....
277.3
277.3
....
164.6
248.4
83.8
....
....
....
....
74.9
....
....

306.6
425.0
280.5
55.2
55.2
....
....
335.7
335.7
....
162.2
251.5
89.3
....
....
....
....
73.5
....
....

294.2
568.6
420.1
53.1
58.1
5.0
....
473.2
473.2
....
145.7
241.0
95.4
....
....
....
....
71.6
....
....

352.7
690.6
510.4
63.8
68.8
5.1
....
574.1
574.1
....
172.4
289.0
116.5
....
....
....
....
108.4
....
....

385.8
564.7
378.9
71.8
77.4
5.6
....
450.7
450.7
....
200.1
314.0
114.0
....
....
....
....
110.4
....
....

406.3
478.4
295.2
78.7
85.1
6.5
....
373.9
373.9
....
223.1
327.6
104.5
....
....
....
....
114.9
....
....

53.0

56.8

75.5

89.4

83.3

69.6

....
....
....
....
....
....
....
....
....
....
....

74.9

73.5

71.6

108.4

110.4

114.9

2011
171.8
254.7
403.6
658.4
425.6
85.0
92.7
7.7
....
510.6
510.6
....
170.9
318.7
147.8
....
....
....
....
116.3
....
....

116.3

93.6

11.5
41.6

11.5
45.3

11.6
63.9

11.8
77.5

11.7
71.6

11.9
57.8

12.5
81.1

....
7.1
7.1
....
2.8
....
2.8
166.3
....
....
....
....
5.8
6.9
....
153.6
27.9
....
8.6
....
....
....
11.6
....
7.7

....
9.8
9.8
....
3.4
....
3.4
168.1
....
....
....
....
6.1
7.3
....
154.6
29.0
....
8.5
....
....
....
11.9
....
8.6

....
6.8
6.8
....
2.6
....
2.6
162.6
....
....
....
....
6.5
....
....
156.1
17.3
....
8.7
....
....
....
....
....
8.7

....
7.8
7.8
....
3.7
....
3.7
172.7
....
....
....
....
6.7
....
....
166.0
23.5
....
14.5
....
....
....
....
....
9.0

....
16.0
16.0
....
5.8
....
5.8
187.6
....
....
....
....
7.5
....
....
180.1
24.9
....
11.4
....
....
....
....
....
13.5

....
18.0
18.0
....
8.6
....
8.6
194.7
....
....
....
....
7.8
....
....
186.9
26.3
....
11.0
....
....
....
....
....
15.3

....
19.2
19.2
....
21.0
....
21.0
183.1
....
....
....
....
8.1
....
....
175.0
33.3
....
12.5
....
....
....
....
....
20.8

20.8
32.0
11.2
22.9
....
9.1
....
....
....
....
....

23.0
34.9
11.8
24.8
....
10.0
....
....
....
....
....

23.9
35.2
11.3
25.1
....
10.1
....
....
....
....
....

32.7
45.6
12.9
26.1
....
19.5
....
....
....
....
....

21.7
37.0
15.3
26.5
....
10.5
....
....
....
....
....

17.4
32.8
15.4
26.1
....
6.7
....
....
....
....
....

8.7
36.7
27.9
26.0
....
10.7
....
....
....
....
....

_______________________________________________________________________________________________________________________________
265
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Djibouti

611
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
9.1
....
9.1
....
....
....
....
11.2
5.9
5.9
2.3
3.6
....
....
....
....
....
....
5.3
....
5.3
....
....
....

....
....
....
....
....
10.0
....
10.0
....
....
....
....
11.8
5.9
5.9
2.3
3.6
....
....
....
....
....
....
6.0
....
6.0
....
....
....

....
....
....
....
....
10.1
....
10.1
....
....
....
....
11.3
4.2
4.2
.7
3.6
....
....
....
....
....
....
7.1
....
7.1
....
....
....

....
....
....
....
....
19.5
....
19.5
....
....
....
....
12.9
5.0
5.0
1.3
3.8
....
....
....
....
....
....
7.8
....
7.8
....
....
....

....
....
....
....
....
10.5
....
10.5
....
....
....
....
15.3
6.5
6.5
2.8
3.8
....
....
....
....
....
....
8.7
....
8.7
....
....
....

....
....
....
....
....
6.7
....
6.7
....
....
....
....
15.4
6.8
6.8
1.3
5.5
....
....
....
....
....
....
8.6
....
8.6
....
....
....

....
....
....
....
....
10.7
....
10.7
....
....
....
....
27.9
7.1
7.1
1.9
5.2
....
....
....
....
....
....
20.9
....
20.9
....
....
....

....
....
....
....
....
....
....
....
....
....
....

72.6
78.3
28.9
49.4
3.0
46.4
5.8
1.1
4.7
4.7
....

78.8
85.5
28.9
56.6
3.7
52.9
6.8
2.0
4.7
4.7
....

79.2
85.9
28.9
56.9
3.5
53.4
6.7
2.0
4.7
4.7
....

79.8
87.2
28.9
58.2
4.3
53.9
7.3
2.2
5.1
5.1
....

86.1
92.2
28.9
63.3
6.0
57.3
6.1
.3
5.8
5.8
....

105.3
118.8
39.1
79.8
6.6
73.2
13.5
1.9
11.6
11.6
....

74.1
92.1
34.0
58.1
6.3
51.7
17.9
5.1
12.9
12.9
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

26.8
....
....
26.8
26.8
....
26.8
....
....
....
....
....
....

9.3
....
....
9.3
9.3
....
9.3
....
....
....
....
....
....

35.3
....
....
35.3
35.3
....
35.3
....
....
....
....
....
....

53.7
....
....
53.7
53.7
....
53.7
....
....
....
....
....
....

55.1
....
....
55.1
55.1
....
55.1
....
....
....
....
....
....

55.3
....
....
55.3
55.3
....
55.3
....
....
....
....
....
....

59.7
....
....
59.7
59.7
....
59.7
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1.5

59.1

98.5

228.9

34.3

7.1

179.7

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

22.2
....
....
....
....
....
....
....
....
....
....
....

108.3
....
....
....
....
....
....
....
....
....
....
....

195.4
....
....
....
....
....
....
....
....
....
....
....

227.7
....
....
....
....
....
....
....
....
....
....
....

96.9
....
....
....
....
....
....
....
....
....
....
....

36.5
....
....
....
....
....
....
....
....
....
....
....

79.0
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
266
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Djibouti

611
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

22.2
22.2
18.7
18.7
....
....
3.6
....
....
....
....

108.3
108.3
104.7
104.7
....
....
3.6
....
....
....
....

195.4
195.4
191.8
191.8
....
....
3.6
....
....
....
....

227.7
227.7
223.9
223.9
....
....
3.8
....
....
....
....

96.9
96.9
93.1
93.1
....
....
3.8
....
....
....
....

36.5
36.5
31.0
31.0
....
....
5.5
....
....
....
....

79.0
79.0
73.8
73.8
....
....
5.2
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

31.1
65.1
....
65.1
....
57.8
....
7.3
....
34.0
....
....
34.0
.8
4.1
19.0
11.8
....

18.8
62.0
....
62.0
....
54.8
....
7.2
....
43.2
....
....
43.2
1.7
13.8
20.9
10.2
....

83.4
148.3
....
148.3
....
38.1
....
110.2
....
64.9
....
....
64.9
2.9
21.5
34.8
11.5
....

44.9
18.5
....
18.5
....
65.4
....
83.9
....
26.4
....
....
26.4
1.6
14.3
44.6
5.5
....

86.8
205.5
....
205.5
....
192.6
....
12.9
....
118.7
....
21.9
96.8
1.3
38.7
60.8
4.0
....

15.8
87.8
....
87.8
....
57.8
....
30.0
....
72.0
....
....
72.0
3.8
53.4
14.0
8.4
....

98.3
48.8
....
48.8
....
48.8
....
....
....
49.5
....
....
49.5
3.2
12.5
21.7
12.1
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

7.4
....
.9
....
6.5

30.4
....
.8
....
29.6

13.5
....
.8
....
14.3

43.7
....
....
....
43.7

44.3
....
20.3
....
24.0

13.6
....
3.3
....
16.9

2.4
....
2.6
....
.2

NET ERRORS AND OMISSIONS.........................

....

45.4

51.8

37.6

57.2

50.2

112.9

67.6

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
267
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Djibouti

611
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
662.3
755.3
895.9
922.3 1,066.3 1,098.2
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
576.0
....
576.0
....
436.0
....
140.0
....
86.3
....
....
1.6
84.7

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
638.6
....
638.6
....
476.6
....
162.0
....
116.7
....
.8
1.7
114.2

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
765.5
....
765.5
....
500.5
....
265.0
....
130.3
....
.1
1.7
128.5

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
748.3
....
748.3
....
574.3
....
174.0
....
174.0
....
.1
1.7
172.2

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
847.9
....
847.9
....
667.9
....
180.0
....
218.4
....
20.5
1.7
196.2

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
866.6
....
866.6
....
663.6
....
203.0
....
231.6
....
16.7
1.7
213.2

1,136.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
907.3
....
907.3
....
668.3
....
239.0
....
229.2
....
14.1
1.7
213.4

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

537.4
104.4
104.4
104.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

588.1
130.3
130.3
130.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

686.9
180.9
180.9
180.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

880.8
235.3
235.3
235.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,058.8
295.1
295.1
295.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,121.8
331.6
331.6
331.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,245.7
408.3
408.3
408.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
268
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Djibouti

611
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Djibouti francs per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
433.0
....
1.7
431.4
19.0
42.5
241.8
128.1
....

....
457.8
....
1.8
456.0
18.4
35.7
271.4
130.6
....

....
506.0
....
1.9
504.2
16.3
55.9
289.4
142.6
....

....
645.5
....
1.8
643.7
18.0
57.8
366.3
201.6
....

....
763.8
....
23.8
740.0
16.0
97.9
459.9
166.2
....

....
790.3
....
23.3
766.9
12.3
121.0
469.7
164.0
....

....
837.3
....
23.3
814.1
16.6
149.1
471.8
176.6
....

....

124.8

167.2

209.0

41.5

7.4

23.6

109.2

....

177.72

177.72

177.72

177.72

177.72

177.72

177.72

_______________________________________________________________________________________________________________________________
269
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominica

321
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
76.08
49.85
86.95 124.29 102.44
82.11

84.71

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

33.04
192.64

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

95.75

69.43

108.10

143.33

121.71

101.76

104.63

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

28.40
8.74

25.52
5.95

28.53
7.38

26.54
7.50

25.80
6.53

27.11
7.47

27.53
7.61

B. Capital Account........................................... 20999F B AA

....

18.28

27.96

57.97

57.56

43.98

33.46

17.30

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

18.43
.14

57.80

28.11
.15

21.90

58.13
.16

28.97

57.72
.16

66.74

44.15
.16

58.46

33.62
.16

48.65

17.46
.17

67.41

C. Financial Account......................................... 30999F N AA

....

57.34

25.65

27.39

48.67

67.47

55.67

70.56

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

19.24
21.68
2.45

25.91
9.77
16.14

40.49
37.58
2.91

56.55
45.14
11.41

41.31
25.20
16.11

24.34
10.05
14.29

34.26
19.69
14.57

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

.46
....
....

.73
....
....

1.08
....
....

2.61
....
....

.46
....
....

3.05
....
....

.07
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

4.24
....
....

.62
....
....

.63
....
....

.68
....
....

.83
....
....

2.46
....
....

2.28
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

7.27
....
7.27

29.19
....
29.19

36.10
....
36.10

31.08
....
31.08

42.94
....
42.94

39.32
....
39.32

39.17
....
39.17

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

41.59
....
41.59

29.04
....
29.04

21.30
....
21.30

26.49
....
26.49

68.74
....
68.74

76.15
....
76.15

77.82
....
77.82

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

Conversion rates: Eastern Caribbean dollars


per U.S. dollar............................................... RFZ F B

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

42.91
145.93

2006

44.26
146.87

2007

39.02
172.34

2008

43.89
217.38

2009

36.82
198.23

38.92
195.54

103.02

102.61

133.33

173.49

161.41

156.62

159.60

86.45
50.19

100.17
51.98

108.83
63.99

118.44
69.95

119.77
66.41

130.87
66.76

133.32
68.02

66.77

54.42

88.49

125.00

108.06

92.52

94.29

5.93
34.91

6.17
21.17

8.54
28.15

8.42
26.75

6.57
20.22

6.09
15.33

6.40
16.74

.46

3.76

1.58

18.07

9.01

7.02

3.15

11.69

7.81

2.75

11.44

6.06

5.78

3.19

11.23

11.57

1.16

6.63

15.08

1.24

6.35

....
....
....

14.40
3.17
....

13.42
1.85
....

1.29
2.46
....

3.38
3.25
....

19.38
4.30
....

.15
1.08
....

3.43
2.91
....

....

2.7000

2.7000

2.7000

2.7000

2.7000

2.7000

2.7000

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
270
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominica

321
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
76.08
49.85
86.95 124.29 102.44
82.11
GOODS AND SERVICES..................................... 1Z9999 B XN
....
66.77
54.42
88.49 125.00 108.06
92.52
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

129.36
196.13
103.02
42.91
42.91
....
....
145.93
145.93
....
36.26
86.45
50.19
....
....
....
....
4.02
....
....
....
26.90
....
....
....
57.03
....
....
9.74
....
....
25.40
....
1.76
....
....
8.12
14.31
....
1.22
13.56
.48
5.74
....
.11
1.33
3.80
....
2.10

144.43
198.85
102.61
44.26
44.26
....
....
146.87
146.87
....
48.19
100.17
51.98
....
....
....
....
3.70
....
....
....
24.88
....
....
....
71.69
....
....
9.79
....
....
24.79
....
2.23
....
....
9.14
11.84
....
1.57
17.32
.42
6.96
....
.24
3.13
4.92
....
1.65

147.84
236.33
133.33
39.02
39.02
....
....
172.34
172.34
....
44.84
108.83
63.99
....
....
....
....
3.72
....
....
....
31.05
....
....
....
74.47
....
....
10.57
....
....
30.64
....
2.23
....
....
12.21
14.92
....
1.28
22.37
3.34
8.23
....
.61
3.10
5.74
....
1.34

162.33
287.32
173.49
43.89
43.89
....
....
217.38
217.38
....
48.49
118.44
69.95
....
....
....
....
4.85
....
....
....
34.85
....
....
....
81.77
....
....
11.14
....
....
31.82
....
2.58
....
....
11.70
15.61
....
1.93
23.95
3.27
8.29
....
.62
3.26
7.42
....
1.09

156.58
264.64
161.41
36.82
36.82
....
....
198.23
198.23
....
53.35
119.77
66.41
....
....
....
....
4.61
....
....
....
32.57
....
....
....
86.13
....
....
12.77
....
....
29.03
....
2.11
....
....
9.75
12.26
....
4.92
21.08
1.80
7.58
....
.44
2.88
7.12
....
1.27

169.79
262.30
156.62
38.92
38.92
....
....
195.54
195.54
....
64.11
130.87
66.76
....
....
....
....
4.24
....
....
....
31.67
....
....
....
96.28
....
....
12.57
....
....
30.35
....
2.65
....
.01
8.60
13.09
....
6.00
22.52
.67
7.93
....
1.23
2.63
7.80
....
2.25

84.71
94.29
166.36
260.65
159.60
33.04
33.04
....
....
192.64
192.64
....
65.31
133.32
68.02
....
....
....
....
4.30
....
....
....
31.52
....
....
....
98.15
....
....
12.81
....
....
30.87
....
2.70
....
....
8.76
13.34
....
6.06
23.68
1.67
7.93
....
1.26
2.60
7.95
....
2.28

....
....
....
....
....
....
....
....
....
....
....

28.98
5.93
34.91
1.38
....
4.55
....
....
....
....
....

15.00
6.17
21.17
1.09
....
5.08
....
....
....
....
....

19.61
8.54
28.15
.93
....
7.61
....
....
....
....
....

18.34
8.42
26.75
.92
....
7.50
1.62
1.62
1.62
....
....

13.65
6.57
20.22
1.06
....
5.51
.04
....
....
....
.04

9.24
6.09
15.33
1.14
....
4.95
.03
....
....
....
.03

10.34
6.40
16.74
1.16
....
5.24
....
....
....
....
....

_______________________________________________________________________________________________________________________________
271
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominica

321
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.08
.08
....
....
....
4.46
....
4.46
....
....
....
....
34.91
22.68
22.44
6.04
16.40
.24
3.20
3.20
....
....
....
9.02
....
9.02
....
....
....

.70
.70
....
....
....
4.38
....
4.38
....
....
....
....
21.17
7.38
7.21
2.22
4.99
.17
3.27
3.27
....
....
....
10.52
....
10.52
....
....
....

1.24
1.24
....
....
....
6.36
....
6.36
....
....
....
....
28.15
12.99
12.85
2.60
10.25
.14
.42
.42
....
....
....
14.74
....
14.74
....
....
....

2.11
2.11
....
....
....
3.76
....
3.76
....
....
....
....
26.75
12.51
12.41
3.58
8.83
.10
.73
.73
....
....
....
13.52
....
13.52
....
....
....

1.16
1.16
....
....
....
4.30
....
4.30
....
....
....
....
20.22
13.35
12.95
6.71
6.24
.41
1.66
1.66
....
....
....
5.20
....
5.20
....
....
....

.65
.65
....
....
....
4.27
....
4.27
....
....
....
....
15.33
7.66
7.27
4.30
2.97
.39
.42
.42
....
....
....
7.26
....
7.26
....
....
....

.87
.87
....
....
....
4.37
....
4.37
....
....
....
....
16.74
7.80
7.41
4.38
3.03
.40
.24
.24
....
....
....
8.69
....
8.69
....
....
....

....
....
....
....
....
....
....
....
....
....
....

19.67
28.40
4.61
23.79
20.39
3.40
8.74
4.38
4.36
.01
4.35

19.57
25.52
2.76
22.77
20.98
1.78
5.95
2.47
3.47
.01
3.47

21.15
28.53
2.65
25.88
21.55
4.33
7.38
2.98
4.39
.01
4.38

19.04
26.54
2.48
24.06
21.77
2.29
7.50
2.54
4.96
.01
4.95

19.27
25.80
2.23
23.56
21.08
2.49
6.53
1.93
4.59
.01
4.59

19.64
27.11
3.26
23.85
21.71
2.14
7.47
2.62
4.85
.01
4.85

19.92
27.53
3.32
24.22
22.06
2.16
7.61
2.67
4.95
.01
4.94

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

18.28
....
....
18.43
15.22
....
15.22
3.20
.14
....
....
....
.14

27.96
.01
....
28.10
24.80
....
24.80
3.30
.15
....
....
....
.15

57.97
....
....
58.13
54.75
....
54.75
3.39
.16
....
....
....
.16

57.56
....
....
57.72
54.30
....
54.30
3.42
.16
....
....
....
.16

43.98
....
....
44.15
40.83
....
40.83
3.31
.16
....
....
....
.16

33.46
....
....
33.62
30.21
....
30.21
3.41
.16
....
....
....
.16

17.30
....
....
17.46
14.00
....
14.00
3.46
.17
....
....
....
.17

FINANCIAL ACCOUNT........................................ 30999S N AA

....

46.11

14.08

26.23

55.30

52.39

54.43

64.22

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

19.24
....
....
....
....
....
....
....
....
....
....
....

25.91
....
....
....
....
....
....
....
....
....
....
....

40.49
....
....
....
....
....
....
....
....
....
....
....

56.55
....
....
....
....
....
....
....
....
....
....
....

41.31
....
....
....
....
....
....
....
....
....
....
....

24.34
....
....
....
....
....
....
....
....
....
....
....

34.26
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
272
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominica

321
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

19.24
21.68
5.28
5.28
....
....
16.40
2.45
2.45
....
....

25.91
9.77
4.78
4.78
....
....
4.99
16.14
16.14
....
....

40.49
37.58
27.32
27.32
....
....
10.25
2.91
2.91
....
....

56.55
45.14
36.31
36.31
....
....
8.83
11.41
11.41
....
....

41.31
25.20
18.97
18.97
....
....
6.24
16.11
16.11
....
....

24.34
10.05
7.08
7.08
....
....
2.97
14.29
14.29
....
....

34.26
19.69
16.67
16.67
....
....
3.03
14.57
14.57
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3.78
.46
....
....
....
....
....
....
....
....
....
....
....
....
4.24
....
....
....
....
....
....
....
....
....
....
....
....

.10
.73
....
....
....
....
....
....
....
....
....
....
....
....
.62
....
....
....
....
....
....
....
....
....
....
....
....

1.71
1.08
....
....
....
....
....
....
....
....
....
....
....
....
.63
....
....
....
....
....
....
....
....
....
....
....
....

3.29
2.61
....
....
....
....
....
....
....
....
....
....
....
....
.68
....
....
....
....
....
....
....
....
....
....
....
....

.37
.46
....
....
....
....
....
....
....
....
....
....
....
....
.83
....
....
....
....
....
....
....
....
....
....
....
....

5.51
3.05
....
....
....
....
....
....
....
....
....
....
....
....
2.46
....
....
....
....
....
....
....
....
....
....
....
....

2.35
.07
....
....
....
....
....
....
....
....
....
....
....
....
2.28
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

37.49
7.27
....
7.27
....
....
....
7.27
....
44.76
....
....
44.76
3.17
8.83
1.85
30.91
....

1.70
29.19
....
29.19
....
12.50
....
16.69
....
30.88
....
....
30.88
1.85
....
4.74
33.78
....

17.27
36.10
....
36.10
....
18.85
....
17.26
....
18.84
....
....
18.84
2.46
....
4.20
25.50
....

1.34
31.08
....
31.08
....
17.56
....
13.53
....
29.74
....
....
29.74
3.25
....
6.63
33.13
....

30.10
42.94
....
42.94
....
10.53
....
32.41
....
73.04
....
11.32
61.72
4.30
....
3.74
53.67
....

35.75
39.32
....
39.32
....
....
....
39.32
....
75.07
....
....
75.07
1.08
10.04
23.57
42.55
....

35.74
39.17
....
39.17
....
....
....
39.17
....
74.91
....
....
74.91
2.91
37.46
12.77
27.59
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

14.40
....
.04
....
14.44

13.42
....
....
....
13.42

1.29
....
.03
....
1.32

3.38
....
.02
....
3.36

19.38
....
10.91
....
8.47

.15
....
1.09
....
1.25

3.43
....
3.09
....
6.52

NET ERRORS AND OMISSIONS.........................

....

11.69

7.81

2.75

11.44

6.06

5.78

3.19

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
273
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominican Republic

243
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
473.0 1,287.4 2,166.3 4,518.6 2,330.9 4,329.5 4,499.0
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

3,170.1

4,431.5

5,567.5

8,031.5

5,546.5

7,453.1

7,905.0

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

2,907.7
210.6

3,365.6
221.5

3,654.8
253.6

3,789.1
276.2

3,499.4
283.8

3,476.1
352.5

3,725.7
319.7

B. Capital Account........................................... 20999F B AA

....

....

254.2

195.1

135.0

106.5

81.9

76.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

254.2
....

195.1
....

135.0
....

106.5
....

81.9
....

76.3
....

C. Financial Account......................................... 30999F N AA

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

4.3
....
4.3

444.1
....
444.1

585.5
....
585.5

141.6
....
141.6

470.1
....
470.1

203.5
....
203.5

76.1
....
76.1

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,118.4
1,171.6
53.2

1,528.7
1,479.0
49.7

2,252.9
2,113.7
139.2

2,728.4
2,592.5
135.9

1,695.3
1,069.7
625.6

1,692.8
1,282.5
410.3

2,295.0
1,754.2
540.8

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

82.2
.9
83.1

328.7
17.7
346.4

172.8
....
172.8

107.7
10.3
118.0

46.8
2.3
44.5

10.6
1.0
9.6

36.9
3.7
33.2

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

326.4
....
326.4

1,102.5
....
1,102.5

776.3
....
776.3

483.5
....
483.5

496.3
....
496.3

770.1
....
770.1

708.7
....
708.7

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

62.4
....
62.4

1,367.8
....
1,367.8

782.8
....
782.8

541.3
....
541.3

255.4
....
255.4

522.0
....
522.0

6.4
....
6.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

206.7
....
206.7

1,162.9

860.0
....
860.0

317.4

352.1
....
352.1

1,038.0
....
1,038.0

789.6
....
789.6

2,088.1
....
2,088.1

1,189.9
....
1,189.9

D. Net Errors and Omissions............................. 40999S N AA

....

456.3

123.0

E. Reserves and Related Items.......................... 4Z999S N AA

....

706.6

194.3

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,110.3
219.0
184.7

344.7
37.8
112.6

Conversion rates: Dominican pesos per U.S.


dollar............................................................. RFZ F B

....

30.511

33.254

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

6,144.7
9,869.4

6,610.2
12,173.9

7,160.2
13,597.0

6,747.5
15,992.9

5,482.9
12,295.9

6,753.5
15,489.1

8,535.9
17,422.7

3,724.7

5,563.7

6,436.8

9,245.4

6,813.0

8,735.6

8,886.8

3,935.0
1,478.2

4,567.2
1,582.0

4,824.9
1,772.4

4,951.2
1,989.4

4,835.9
1,848.6

5,153.9
2,185.0

5,341.2
2,231.9

1,267.9

2,578.5

3,384.3

6,283.6

3,825.7

5,766.7

5,777.5

418.1
2,320.4

699.7
2,552.7

811.5
2,994.7

712.6
2,460.5

461.1
2,181.9

496.6
2,183.0

505.5
2,633.0

473.0

1,033.2

1,971.2

4,383.6

2,224.4

4,247.6

4,422.7

1,635.9 1,350.6 2,185.8 4,073.5 2,760.9 5,265.9 4,313.0

214.6

310.1

536.5

1,018.3

109.7

411.7

14.6

125.3

953.6

260.0

626.3

324.7

411.2

64.7

150.3

682.3
62.9
6.8

308.0
41.7
58.3

642.3
274.0
42.9

458.9
390.3
3.9

328.2
173.9
4.0

33.312

34.875

36.122

37.307

38.232

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
274
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominican Republic

243
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
473.0 1,287.4 2,166.3 4,518.6 2,330.9 4,329.5 4,499.0
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,267.9 2,578.5 3,384.3 6,283.6 3,825.7 5,766.7 5,777.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 10,079.7 11,177.4 11,985.1 11,698.7 10,318.8 11,907.4 13,877.1


. . . . 11,347.6 13,755.9 15,369.4 17,982.3 14,144.5 17,674.1 19,654.6
. . . . 3,724.7 5,563.7 6,436.8 9,245.4 6,813.0 8,735.6 8,886.8
....
6,144.7 6,610.2 7,160.2 6,747.5 5,482.9 6,753.5 8,535.9
....
6,144.7
6,610.2
7,160.2
6,747.5
5,482.9
6,753.5
8,535.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
9,869.4 12,173.9 13,597.0 15,992.9 12,295.9 15,489.1 17,422.7
....
9,869.4 12,173.9 13,597.0 15,992.9 12,295.9 15,489.1 17,422.7
....
....
....
....
....
....
....
....
....
2,456.8 2,985.2 3,052.5 2,961.8 2,987.3 2,968.9 3,109.3
....
3,935.0
4,567.2
4,824.9
4,951.2
4,835.9
5,153.9
5,341.2
....
1,478.2
1,582.0
1,772.4
1,989.4
1,848.6
2,185.0
2,231.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
130.8
300.5
355.5
365.4
354.1
435.2
443.1
....
....
....
....
....
....
....
....
89.6
98.9
113.9
121.3
97.5
122.3
119.7
....
....
41.2
201.6
241.6
244.1
256.6
312.9
323.4
....
866.8
939.7 1,111.1 1,164.2 1,007.7 1,197.4 1,155.6
159.1
161.7
205.3
205.1
163.9
158.7
148.6
....
....
706.7
776.9
903.9
957.2
842.1
1,037.3
1,005.8
....
1.0
1.1
1.9
1.9
1.7
1.4
1.2
....
3,518.3 3,916.8 4,064.2 4,165.9 4,048.8 4,209.1 4,352.8
....
21.3
22.4
23.4
16.7
14.6
18.5
21.0
....
3,497.0
3,894.4
4,040.8
4,149.2
4,034.2
4,190.6
4,331.8
....
352.2
333.0
325.9
327.0
340.6
395.2
418.4
....
....
....
....
....
....
....
....
....
352.2
333.0
325.9
327.0
340.6
395.2
418.4
....
285.9
349.9
405.2
419.9
433.0
509.6
545.3
....
....
....
....
....
....
....
....
....
21.8
24.7
27.4
29.1
24.2
27.2
28.5
....
18.4
29.0
17.1
16.1
20.5
21.4
42.3
....
....
....
....
....
....
....
....
....
130.9
167.1
172.1
194.9
199.0
227.6
224.4
....
44.7
58.2
116.8
116.1
106.4
132.2
132.6
....
....
....
....
....
....
....
....
....
70.1
70.9
71.8
63.7
82.9
101.2
117.5
....
259.2
309.3
335.4
498.2
500.3
592.4
657.9
....
....
....
....
....
....
....
....
....
101.9
98.9
108.4
112.3
110.8
108.7
120.1
....
18.1
31.8
25.9
28.0
50.0
67.8
75.5
....
30.8
31.5
31.9
50.7
53.4
65.5
70.1
....
27.2
38.2
51.1
62.3
48.8
66.8
81.4
....
33.8
36.4
36.7
149.8
120.3
151.3
167.3
....
....
.8
.4
.5
1.0
1.6
.8
....
47.4
71.7
81.0
94.6
116.0
130.7
142.7
. . . . 1,902.2 1,853.0 2,183.2 1,747.9 1,720.8 1,686.4 2,127.5
....
418.1
699.7
811.5
712.6
461.1
496.6
505.5
....
2,320.4
2,552.7
2,994.7
2,460.5
2,181.9
2,183.0
2,633.0
....
289.4
316.0
351.3
384.0
373.2
431.7
450.3
....
24.7
26.6
28.2
34.5
26.9
32.6
35.4
....
128.7
383.7
460.2
328.6
87.9
64.9
55.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
275
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominican Republic

243
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

10.6
....
....
....
10.6
118.1
....
118.1
....
....
....
....
2,295.7
1,765.0
1,753.5
1,269.7
483.8
11.5
154.6
3.9
....
....
150.7
376.1
....
376.1
....
....
....

66.3
....
....
....
66.3
317.4
....
317.4
....
....
....
....
2,526.1
1,931.7
1,923.5
1,209.1
714.4
8.2
223.5
1.1
....
....
222.4
370.9
....
370.9
....
....
....

39.3
....
....
....
39.3
420.9
....
420.9
....
....
....
....
2,966.5
2,194.4
2,189.8
1,691.7
498.1
4.6
355.9
2.5
....
....
353.4
416.2
....
416.2
....
....
....

46.1
....
....
....
46.1
282.5
....
282.5
....
....
....
....
2,426.0
1,668.5
1,667.0
1,273.1
393.9
1.5
377.2
3.1
....
....
374.1
380.3
....
380.3
....
....
....

13.7
....
....
....
13.7
74.2
....
74.2
....
....
....
....
2,155.0
1,518.1
1,500.5
1,135.1
365.4
17.6
323.8
2.9
....
....
320.9
313.1
....
313.1
....
....
....

12.1
....
....
....
12.1
52.8
....
52.8
....
....
....
....
2,150.4
1,528.4
1,493.7
1,142.6
351.1
34.7
312.2
3.0
....
....
309.2
309.8
....
309.8
....
....
....

12.0
....
....
....
12.0
43.2
....
43.2
....
....
....
....
2,597.6
1,839.4
1,795.6
1,197.2
598.4
43.8
387.2
3.3
....
....
383.9
371.0
....
371.0
....
....
....

....
....
....
....
....
....
....
....
....
....
....

2,697.1
2,907.7
176.5
2,731.2
2,429.8
301.4
210.6
2.7
207.9
....
207.9

3,144.1
3,365.6
232.5
3,133.1
2,737.8
395.3
221.5
2.5
219.0
....
219.0

3,401.2
3,654.8
279.8
3,375.0
3,045.7
329.3
253.6
2.5
251.1
....
251.1

3,512.9
3,789.1
232.3
3,556.8
3,221.5
335.3
276.2
6.2
270.0
....
270.0

3,215.6
3,499.4
218.4
3,281.0
3,041.5
239.5
283.8
6.6
277.2
....
277.2

3,123.6
3,476.1
247.7
3,228.4
2,998.1
230.3
352.5
48.0
304.5
....
304.5

3,406.0
3,725.7
274.6
3,451.1
3,200.0
251.1
319.7
2.7
317.0
....
317.0

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

290.1
....
....
290.1
42.3
35.9
6.4
247.8
....
....
....
....
....

205.9
....
....
205.9
21.3
10.8
10.5
184.6
....
....
....
....
....

144.4
....
....
144.4
10.3
9.4
.9
134.1
....
....
....
....
....

407.2
....
....
407.2
300.7
300.7
....
106.5
....
....
....
....
....

86.7
....
....
86.7
4.8
4.8
....
81.9
....
....
....
....
....

80.3
....
....
80.3
4.0
4.0
....
76.3
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

. . . . 1,122.7 1,084.6 1,667.4 2,870.0 2,165.4 2,297.8 2,371.1


....
4.3
444.1
585.5
141.6
470.1
203.5
76.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
4.3
444.1
585.5
141.6
470.1
203.5
76.1
....
....
....
....
....
....
....
....
....
4.3
444.1
585.5
141.6
470.1
203.5
76.1
....
....
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

929.3 1,120.3 1,548.7 4,388.8 2,049.0 5,196.4 4,158.7

_______________________________________________________________________________________________________________________________
276
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominican Republic

243
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,118.4
1,171.6
687.8
687.8
....
....
483.8
53.2
53.2
....
....

1,528.7
1,479.0
764.6
764.6
....
....
714.4
49.7
49.7
....
....

2,252.9
2,113.7
1,615.6
1,615.6
....
....
498.1
139.2
139.2
....
....

2,728.4
2,592.5
2,198.6
2,198.6
....
....
393.9
135.9
135.9
....
....

1,695.3
1,069.7
704.3
704.3
....
....
365.4
625.6
625.6
....
....

2,094.3
1,684.0
1,332.9
1,332.9
....
....
351.1
410.3
410.3
....
....

2,295.0
1,754.2
1,155.8
1,155.8
....
....
598.4
540.8
540.8
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

244.2
82.2
.9
....
.9
....
....
....
83.1
6.5
76.6
....
....
....
326.4
....
....
....
....
....
....
326.4
262.0
15.8
49.3
.7
....

773.8
328.7
17.7
....
17.7
....
....
....
346.4
7.1
339.3
....
....
....
1,102.5
....
....
....
....
....
....
1,102.5
362.8
15.4
333.8
421.2
....

949.1
172.8
....
....
....
....
....
....
172.8
7.6
180.4
....
....
....
776.3
....
....
....
....
....
....
776.3
469.6
.6
105.4
411.5
....

375.8
107.7
10.3
....
10.3
....
....
....
118.0
8.2
126.2
....
....
....
483.5
....
....
....
....
....
....
483.5
242.5
.3
105.4
135.9
....

449.5
46.8
2.3
....
2.3
....
....
....
44.5
8.6
53.1
....
....
....
496.3
....
....
....
....
....
....
496.3
387.5
.1
106.2
2.7
....

759.5
10.6
1.0
....
1.0
....
....
....
9.6
9.6
....
....
....
....
770.1
....
....
....
....
....
....
770.1
36.5
5.7
642.4
158.5
....

745.6
36.9
3.7
....
3.7
....
....
....
33.2
10.3
43.5
....
....
....
708.7
....
....
....
....
....
....
708.7
29.5
7.0
679.4
65.8
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

672.7
62.4
....
62.4
44.5
21.7
....
85.2
....
610.4
....
....
610.4
182.2
72.1
251.1
249.1
....

393.3
1,367.8
....
1,367.8
11.5
105.6
....
1,461.9
....
974.5
....
....
974.5
7.5
24.1
418.8
524.1
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,110.3
....
.9
....
1,111.2

344.7
....
23.7
....
321.0

682.3
....
70.4
....
611.9

308.0
....
60.4
....
247.6

642.3
....
239.3
....
403.0

458.9
....
151.5
....
610.4

328.2
....
101.8
....
430.0

NET ERRORS AND OMISSIONS.........................

....

456.3

123.0

411.7

14.6

125.3

953.6

260.0

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

385.4 1,586.6
782.8
541.3
....
....
782.8
541.3
24.6
23.5
345.8
234.2
....
....
412.4
330.6
....
....
397.4 1,045.3
....
....
....
....
397.4 1,045.3
38.1
55.6
7.2
413.5
295.5
791.6
56.6
104.3
....
....

975.4 2,598.0 1,370.2


255.4
522.0
6.4
....
....
....
255.4
522.0
6.4
4.7
19.4
16.3
22.9
217.9
73.5
....
....
....
227.8
284.7
83.4
....
....
....
720.0 2,076.0 1,363.8
....
....
....
276.8
....
....
443.2 2,076.0 1,363.8
261.4
378.5
163.0
108.7
453.7
261.3
756.4
711.9
900.8
465.9
531.9
561.3
....
....
....

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
277
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominican Republic

243

Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
7,979.5 10,555.0 12,524.4 11,548.7 11,490.8 11,236.0 11,497.6
Direct investment............................................. 8A9999 A AA
....
528.7
972.8 1,558.3 1,416.7
946.6
743.1
667.0
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
528.7
....
528.7
....
204.6
19.3
....
19.3
....
....
....
185.3
91.0
94.3
....
....
....
....
5,317.0
....
5,317.0
144.4
981.6
....
4,190.9
....
1,929.3
9.4
.6
....
1,919.3

....
....
....
972.8
....
972.8
....
533.3
1.6
....
1.6
....
....
....
531.7
98.1
433.6
....
....
....
....
6,638.8
....
6,638.8
129.0
876.8
....
5,633.0
....
2,410.1
11.6
24.5
....
2,244.7

....
....
....
1,558.3
....
1,558.3
....
360.5
1.6
....
1.6
....
....
....
358.9
105.7
253.2
....
....
....
....
7,456.1
....
7,456.1
153.7
1,222.6
....
6,079.8
....
3,149.5
15.3
98.6
....
2,865.9

....
....
....
1,416.7
....
1,416.7
....
252.8
11.9
....
11.9
....
....
....
240.9
113.9
127.0
....
....
....
....
7,044.1
....
7,044.1
177.2
988.4
....
5,878.5
....
2,835.1
15.9
36.0
....
2,610.1

....
....
....
946.6
....
946.6
....
206.3
9.6
....
9.6
....
....
....
196.7
122.8
73.9
....
....
....
....
6,802.9
....
6,802.9
172.5
965.5
....
5,664.9
....
3,535.0
19.9
275.6
....
3,011.6

....
....
....
743.1
....
743.1
....
216.9
10.6
....
10.6
....
....
....
206.3
132.4
73.9
....
....
....
....
6,253.3
....
6,253.3
153.4
747.7
....
5,352.2
....
4,022.7
25.7
117.7
....
3,622.0

....
....
....
667.0
....
667.0
....
180.0
6.9
....
6.9
....
....
....
173.1
142.7
30.4
....
....
....
....
6,230.9
....
6,230.9
134.4
674.3
....
5,422.2
....
4,419.7
28.0
18.6
....
4,051.8

. . . . 19,238.7 22,968.8 26,382.4 29,040.2 31,449.7 36,470.8 40,659.8


....
9,274.7 10,794.2 13,051.9 15,734.0 17,399.0 19,484.7 21,785.8
....
8,480.5 9,950.2 12,068.8 14,615.0 15,654.4 17,329.8 19,090.2
....
8,480.5
9,950.2 12,068.8 14,615.0 15,654.4 17,329.8 19,090.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
794.2
843.9
983.1 1,119.0 1,744.6 2,154.9 2,695.7
....
794.2
843.9
983.1
1,119.0
1,744.6
2,154.9
2,695.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2,038.0 3,264.6 3,937.7 2,827.8 2,877.2 3,727.5 4,264.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2,038.0 3,264.6 3,937.7 2,827.8 2,877.2 3,727.5 4,264.4
....
796.5
1,165.0
1,614.5
1,324.6
916.9
860.7
817.0
....
16.8
1.5
2.0
2.3
2.3
8.0
1.0
....
1,209.7
1,662.0
1,473.5
789.0
1,249.5
1,991.8
2,513.6
....
15.0
436.2
847.7
711.9
708.5
867.0
932.8
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
278
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Dominican Republic

243

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Dominican pesos per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

....
....
....
....
....
....
....
....
....
....

....
7,926.0
....
45.1
7,880.9
548.4
170.2
4,547.0
2,615.4
....

....
8,910.0
....
47.5
8,862.5
574.4
190.6
4,973.9
3,123.5
....

2007

2008

2009

2010

2011

....
....
....
....
....
9,392.9 10,478.4 11,173.5 13,258.7 14,609.6
....
....
....
....
....
49.9
48.6
327.4
321.6
320.6
9,343.0 10,429.8 10,846.1 12,937.1 14,289.0
639.7
573.8
835.0
1,196.1
1,347.7
198.5
612.0
503.5
979.6
718.4
5,305.9
6,142.3
6,882.9
7,595.7
8,497.4
3,198.9
3,101.7
2,624.7
3,165.7
3,725.5
....
....
....
....
....

. . . . 11,259.2 12,413.7 13,858.0 17,491.4 19,958.8 25,234.9 29,162.3


....

34.879

33.517

34.069

35.783

36.381

37.927

38.792

_______________________________________________________________________________________________________________________________
279
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Eastern Caribbean Currency Union

309

Table 1. ANALYTIC PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
. . . . 803.89 1,234.04 1,576.81 1,723.58 1,064.86 1,075.85 1,037.57
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
370.11
360.62
361.51
463.82
431.40
450.90
403.33
. . . . 1,857.47 2,205.58 2,462.56 2,718.09 2,117.44 2,215.33 2,211.09
. . . . 1,487.35 1,844.96 2,101.05 2,254.27 1,686.04 1,764.42 1,807.75

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

1,535.76
806.21

1,534.86
899.86

1,617.44
999.43

1,636.89
1,002.78

1,513.34
852.05

1,558.95
855.02

1,600.51
848.71

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

75.64
309.82

101.65
299.04

102.98
338.29

68.91
337.50

75.91
285.30

68.52
252.52

70.25
245.50

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

273.81
85.71

273.10
99.80

267.13
125.60

278.71
113.54

271.92
102.64

283.71
115.06

308.68
115.04

B. Capital Account........................................... 20999F B AA

....

332.11

175.64

223.21

219.39

205.54

257.13

210.62

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

340.85
8.74

184.70
9.06

232.55
9.34

229.31
9.92

471.79 1,058.41 1,353.60 1,504.18

215.30
9.76

859.32

266.73
9.60

818.72

220.60
9.98

826.95

C. Financial Account......................................... 30999F N AA

....

468.81 1,156.06 1,361.60 1,401.43 1,091.36

898.66

818.64

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

644.42
495.04
149.38

1,073.97
697.29
376.68

1,186.76
815.03
371.73

967.33
583.91
383.42

646.18
357.05
289.13

556.39
290.30
266.09

452.71
220.86
231.85

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1.43
....
....

17.42
....
....

7.56
....
....

2.01
....
....

22.85
....
....

15.40
....
....

2.96
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

34.82
....
....

33.50
....
....

10.61
....
....

11.95
....
....

.46
....
....

21.60
....
....

33.04
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

555.72
....
555.72

203.05
....
203.05

277.37
....
277.37

224.51
....
224.51

262.47
....
262.47

270.95
....
270.95

216.26
....
216.26

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

346.71
....
346.71

269.07
....
269.07

470.38
....
470.38

648.67
....
648.67

102.76

730.03
....
730.03

232.04

607.02
....
607.02

552.11
....
552.11

D. Net Errors and Omissions............................. 40999S N AA

....

18.04

8.02

43.45

69.21

104.00

20.23

20.82

E. Reserves and Related Items.......................... 4Z999S N AA

....

21.02

89.64

51.45

33.54

128.04

59.71

12.51

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

17.85
3.17
....

92.14
2.50
....

46.76
4.69
....

18.58
14.97
....

151.11
23.07
....

100.02
40.30
....

69.03
56.52
....

Conversion rates: Eastern Caribbean dollars


per U.S. dollar............................................... RFZ F B

....

2.7000

2.7000

2.7000

2.7000

2.7000

2.7000

2.7000

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

757.80 1,209.96 1,483.03 1,620.16 1,024.75 1,060.50 1,055.96

991.99 1,407.35 1,718.34 1,888.75 1,234.14 1,244.50 1,231.21

2.98

97.66

8.00

79.94

8.31

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
280
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Eastern Caribbean Currency Union

309

Table 2. STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 803.89 1,234.04 1,576.81 1,723.58 1,064.86 1,075.85 1,037.57
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 757.80 1,209.96 1,483.03 1,620.16 1,024.75 1,060.50 1,055.96
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 1,905.87 1,895.48 1,978.96 2,100.71 1,944.74 2,009.85 2,003.84


. . . . 2,663.68 3,105.44 3,461.99 3,720.87 2,969.50 3,070.35 3,059.80
. . . . 1,487.35 1,844.96 2,101.05 2,254.27 1,686.04 1,764.42 1,807.75
....
370.11
360.62
361.51
463.82
431.40
450.90
403.33
....
370.11
360.62
361.51
463.82
431.40
450.90
403.33
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
. . . . 1,857.47 2,205.58 2,462.56 2,718.09 2,117.44 2,215.33 2,211.09
. . . . 1,857.47 2,205.58 2,462.56 2,718.09 2,117.44 2,215.33 2,211.09
....
....
....
....
....
....
....
....
....
729.55
635.00
618.02
634.11
661.29
703.93
751.80
. . . . 1,535.76 1,534.86 1,617.44 1,636.89 1,513.34 1,558.95 1,600.51
....
806.21
899.86
999.43 1,002.78
852.05
855.02
848.71
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.15
.14
.16
.19
.36
.28
.36
....
....
....
....
....
....
....
....
....
146.55
144.69
158.67
198.21
204.54
186.91
191.24
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
320.75
357.13
395.13
427.02
342.82
345.85
348.45
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
. . . . 1,139.48 1,146.21 1,179.49 1,150.54 1,056.27 1,097.69 1,122.89
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
137.02
154.64
171.35
178.57
168.42
167.15
168.18
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
249.57
243.83
279.13
287.95
252.17
274.07
286.01
....
.38
.19
.31
.41
.49
.37
.51
....
43.16
30.42
36.42
40.22
32.93
38.74
38.93
....
....
....
....
....
....
....
....
....
....
.06
.06
.07
.07
.34
.35
....
61.34
54.39
69.88
70.74
62.17
50.65
50.59
....
123.53
132.36
146.59
148.25
126.07
125.51
129.72
....
....
....
....
....
....
....
....
....
21.16
26.40
25.86
28.25
30.44
58.46
65.91
....
348.43
388.09
432.94
397.18
340.82
342.02
332.07
....
38.41
70.93
75.17
36.74
23.94
15.72
12.71
....
91.17
107.26
116.70
130.18
112.39
110.07
107.95
....
....
....
....
....
....
....
....
....
6.86
8.56
9.60
14.47
13.63
17.12
17.56
....
31.49
24.38
27.89
28.17
23.74
20.26
22.05
....
138.36
142.30
161.79
147.04
131.70
144.82
137.64
....
....
....
....
....
....
....
....
....
42.15
34.65
41.80
40.56
35.41
34.03
34.16
....
....
....
....
....
....
....
....
....
....
....

234.18
75.64
309.82
12.48
3.96
63.16
.10
.09
.09
....
....

197.39
101.65
299.04
16.87
1.59
84.78
.15
.10
.10
....
.04

235.30
102.98
338.29
20.25
5.82
82.73
.12
.08
.08
....
.03

268.59
68.91
337.50
19.01
3.26
49.90
2.05
1.65
1.65
....
.40

209.38
75.91
285.30
21.35
2.52
54.56
.41
.02
.02
....
.39

184.00
68.52
252.52
20.12
2.21
48.40
.16
....
....
....
.16

175.25
70.25
245.50
20.54
2.37
49.72
.08
....
....
....
.08

_______________________________________________________________________________________________________________________________
281
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Eastern Caribbean Currency Union

309

Table 2 (Continued). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8.36
8.36
....
....
....
54.70
....
54.70
....
....
....
....
305.86
176.50
162.85
80.58
82.27
13.65
26.04
26.04
....
....
....
103.32
....
103.32
....
....
....

19.36
19.36
....
....
....
65.27
....
65.27
....
....
....
....
297.45
154.80
141.60
84.98
56.62
13.19
27.72
27.72
....
....
....
114.93
....
114.93
....
....
....

19.31
19.31
....
....
....
63.31
....
63.31
....
....
....
....
332.46
188.08
172.72
102.21
70.51
15.36
16.41
16.41
....
....
....
127.97
....
127.97
....
....
....

13.62
13.62
....
....
....
34.23
....
34.23
....
....
....
....
334.24
196.75
182.98
119.03
63.95
13.77
20.93
20.93
....
....
....
116.56
....
116.56
....
....
....

22.88
22.88
....
....
....
31.27
....
31.27
....
....
....
....
282.77
153.16
140.75
114.25
26.51
12.41
21.31
21.31
....
....
....
108.30
....
108.30
....
....
....

20.73
20.73
....
....
....
27.52
....
27.52
....
....
....
....
250.32
145.90
133.20
98.32
34.88
12.70
20.81
20.81
....
....
....
83.60
....
83.60
....
....
....

21.66
21.66
....
....
....
27.97
....
27.97
....
....
....
....
243.13
140.35
127.34
92.00
35.34
13.01
15.28
15.28
....
....
....
87.50
....
87.50
....
....
....

....
....
....
....
....
....
....
....
....
....
....

188.09
273.81
87.86
185.95
144.06
41.90
85.71
25.94
59.77
24.04
35.73

173.30
273.10
91.22
181.88
150.02
31.87
99.80
23.86
75.94
27.87
48.07

141.53
267.13
76.81
190.32
156.37
33.95
125.60
31.65
93.96
32.51
61.45

165.17
278.71
85.09
193.62
161.60
32.02
113.54
26.18
87.36
31.88
55.48

169.27
271.92
86.49
185.42
156.16
29.27
102.64
21.12
81.53
27.32
54.20

168.65
283.71
87.45
196.27
168.37
27.89
115.06
24.73
90.33
24.52
65.81

193.63
308.68
107.84
200.84
170.66
30.18
115.04
22.71
92.33
25.20
67.13

....
....
....
....
....
....
....
....
....
....
....
....
....

332.11
....
....
340.85
286.33
....
286.33
54.52
8.74
....
....
....
8.74

175.64
.09
....
184.61
127.48
....
127.48
57.13
9.06
....
....
....
9.06

223.21
....
....
232.55
172.52
....
172.52
60.03
9.34
....
....
....
9.34

219.39
....
....
229.31
169.33
....
169.33
59.98
9.92
....
....
....
9.92

205.54
....
....
215.30
158.00
....
158.00
57.31
9.76
....
....
....
9.76

257.13
....
....
266.73
208.97
....
208.97
57.76
9.60
....
....
....
9.60

210.62
....
....
220.60
161.40
....
161.40
59.20
9.98
....
....
....
9.98

FINANCIAL ACCOUNT........................................ 30999S N AA

....

489.83 1,066.42 1,310.14 1,434.97

963.32

838.94

806.13

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

644.42 1,073.97 1,186.76


....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

646.18
....
....
....
....
....
....
....
....
....
....
....

556.39
....
....
....
....
....
....
....
....
....
....
....

452.71
....
....
....
....
....
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

967.33
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
282
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Eastern Caribbean Currency Union

309

Table 2 (Concluded). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

644.42 1,073.97 1,186.76


495.04
697.29
815.03
412.77
640.66
744.52
412.77
640.66
744.52
....
....
....
....
....
....
82.27
56.62
70.51
149.38
376.68
371.73
149.38
376.68
371.73
....
....
....
....
....
....

967.33
583.91
519.95
519.95
....
....
63.95
383.42
383.42
....
....

646.18
357.05
330.55
330.55
....
....
26.51
289.13
289.13
....
....

556.39
290.30
255.41
255.41
....
....
34.88
266.09
266.09
....
....

452.71
220.86
185.52
185.52
....
....
35.34
231.85
231.85
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

33.40
1.43
....
....
....
....
....
....
....
....
....
....
....
....
34.82
....
....
....
....
....
....
....
....
....
....
....
....

16.08
17.42
....
....
....
....
....
....
....
....
....
....
....
....
33.50
....
....
....
....
....
....
....
....
....
....
....
....

18.17
7.56
....
....
....
....
....
....
....
....
....
....
....
....
10.61
....
....
....
....
....
....
....
....
....
....
....
....

9.94
2.01
....
....
....
....
....
....
....
....
....
....
....
....
11.95
....
....
....
....
....
....
....
....
....
....
....
....

22.38
22.85
....
....
....
....
....
....
....
....
....
....
....
....
.46
....
....
....
....
....
....
....
....
....
....
....
....

6.20
15.40
....
....
....
....
....
....
....
....
....
....
....
....
21.60
....
....
....
....
....
....
....
....
....
....
....
....

30.08
2.96
....
....
....
....
....
....
....
....
....
....
....
....
33.04
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

205.84
555.72
....
555.72
....
77.41
....
478.30
....
349.88
....
....
349.88
3.17
....
67.18
413.90
....

68.51
203.05
....
203.05
....
....
....
203.05
....
271.57
....
....
271.57
2.50
30.72
42.25
196.10
....

188.32
277.37
....
277.37
....
....
....
277.37
....
465.69
....
....
465.69
4.69
122.66
42.48
305.24
....

439.12
224.51
....
224.51
....
....
....
224.51
....
663.63
....
....
663.63
14.97
275.11
22.98
350.58
....

490.63
262.47
....
262.47
....
....
....
262.47
....
753.10
....
93.60
659.50
23.07
182.84
71.61
381.98
....

376.38
270.95
....
270.95
....
....
....
270.95
....
647.33
....
....
647.33
40.30
32.71
242.07
332.25
....

392.37
216.26
....
216.26
....
....
....
216.26
....
608.63
....
....
608.63
56.52
113.96
26.66
411.50
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

17.85
....
....
....
17.85

92.14
....
.15
....
91.99

46.76
....
.03
....
46.73

18.58
....
1.17
....
19.74

151.11
....
92.54
....
58.57

100.02
....
30.45
.04
130.44

69.03
....
4.00
.03
73.00

NET ERRORS AND OMISSIONS.........................

....

18.04

8.02

43.45

69.21

104.00

20.23

20.82

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

....

2005

2006

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
283
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ecuador

248
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
474
1,740
1,938
1,648
136
1,613

259

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

10,462
9,703

13,170
11,402

14,864
13,041

19,455
17,906

14,406
14,262

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

1,018
2,148

1,043
2,347

1,206
2,578

1,448
3,019

23

1,138

3,040

1,757

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

213
2,029

2,187

287
2,114

1,364

361
2,306

1,493

315
1,767

1,475

106
1,479

2,512

76
1,124

4,088

83
1,325

3,000

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

2,781
120

3,234
130

3,580
149

3,284
162

2,959
312

2,922
447

3,000
259

B. Capital Account........................................... 20999F B AA

....

16

19

15

20

18

23

24

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

26
10

29
10

25
10

30
10

29
11

33
11

34
10

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

758

371

1,768

464

490

1,759

....

152

2,173

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

493
519
26

271
532
260

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

228
22
206

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

1,823

452

144

1,504

23,100
23,233

1,343
2,624

1,479
3,016

1,573
3,197

133

1,668

154

1,590

235

635

733

2,402

239

320

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

194
562
368

1,006
527
479

321
534
212

158
478
320

568
559
9

641
61
580

116
40
76

217
5
212

152
110
42

721
534
187

48
141
189

594
2
593

743
....
743

3
....
3

4
1
5

2,989
2
2,992

10
....
11

7
2
9

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

882
....
882

2,149
....
2,149

1,962
....
1,962

1,776
....
1,776

1,454
....
1,454

123
....
123

2,381
....
2,381

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

129
....
129

1,088
....
1,088

1,252
....
1,252

177
....
177

1,871
....
1,871

689
....
689

2,093
....
2,093

D. Net Errors and Omissions............................. 40999S N AA

....

528

341

89

535

140

187

E. Reserves and Related Items.......................... 4Z999S N AA

....

865

74

1,407

935

2,783

1,211

272

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

714
196
44

125
58
7

1,495
23
111

954
....
18

686
....
2,097

1,169
....
42

336
....
64

338

415

1,953

1,549

18,131
19,635

1,318

935

2,248

1,351

85

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
284
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ecuador

248
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
474
1,740
1,938
1,648
136
1,613
GOODS AND SERVICES..................................... 1Z9999 B XN
....
371
464
452
23
1,138
3,040
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

11,480
11,851
758
10,462
10,462
....
....
9,703
9,703
....
1,130
1,018
2,148
....
....
6
6
335

14,213
13,749
1,768
13,170
13,170
....
....
11,402
11,402
....
1,305
1,043
2,347
....
....
6
6
352

16,070
15,619
1,823
14,864
14,864
....
....
13,041
13,041
....
1,371
1,206
2,578
....
....
6
6
348

20,902
20,925
1,549
19,455
19,455
....
....
17,906
17,906
....
1,571
1,448
3,019
....
....
6
6
367

15,749
16,887
144
14,406
14,406
....
....
14,262
14,262
....
1,282
1,343
2,624
....
....
6
6
345

19,610
22,651
1,504
18,131
18,131
....
....
19,635
19,635
....
1,536
1,479
3,016
....
....
6
6
361

259
1,757
24,673
26,430
133
23,100
23,100
....
....
23,233
23,233
....
1,624
1,573
3,197
....
....
6
6
385

1,043

1,171

1,327

1,669

1,369

1,731

1,773

486
123
363
429
116
312
191
....
1
....
....
80
....
39
72
671
....
140
5
43
6
308
106
63

490
126
364
466
127
340
194
....
....
....
....
76
....
41
78
704
....
139
5
44
7
318
116
77

623
161
462
504
137
367
229
....
....
....
....
97
....
44
88
741
....
140
5
45
7
327
126
91

742
192
550
542
147
395
333
....
....
....
....
196
....
47
90
802
....
179
5
47
28
338
137
69

670
173
497
549
149
400
321
....
....
....
....
169
....
54
98
700
....
158
3
47
26
265
151
51

781
202
580
568
154
414
331
....
....
....
....
162
....
66
103
710
....
214
19
54
24
172
168
60

837
216
621
623
169
454
345
....
....
....
....
160
....
82
104
795
....
290
22
66
19
101
188
110

....
....
....
....
....
....
....
....
....
....
....

1,816
213
2,029
7
6
207
....
....
....
....
....

1,828
287
2,114
6
5
280
....
....
....
....
....

1,945
361
2,306
6
5
355
....
....
....
....
....

1,452
315
1,767
6
6
309
....
....
....
....
....

1,373
106
1,479
7
6
99
....
....
....
....
....

2
292
41
215
722
105

2
300
50
240
830
101

3
293
51
229
981
118

3
298
65

248
1,278
143

4
292
49
257
991
121

5
296
60

294
1,283
154

1,048
76
1,124
8
7
68
....
....
....
....
....

6
305
74

324
1,292
157

1,243
83
1,325
8
8
74
....
....
....
....
....

_______________________________________________________________________________________________________________________________
285
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ecuador

248
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
207
....
207
....
....
....
....
2,023
1,004
769
369
400
235
372
....
....
....
372
647
....
647
....
....
....

....
....
....
....
....
280
....
280
....
....
....
....
2,109
977
784
389
395
193
416
....
....
....
416
715
....
715
....
....
....

....
....
....
....
....
355
....
355
....
....
....
....
2,300
1,160
919
508
411
241
399
....
....
....
399
741
....
741
....
....
....

....
....
....
....
....
309
....
309
....
....
....
....
1,761
785
629
331
298
156
337
....
....
....
337
639
....
639
....
....
....

....
....
....
....
....
99
....
99
....
....
....
....
1,473
821
671
415
256
150
65
....
....
....
65
586
....
586
....
....
....

....
....
....
....
....
68
....
68
....
....
....
....
1,117
539
433
220
213
106
64
....
....
....
64
513
....
513
....
....
....

....
....
....
....
....
74
....
74
....
....
....
....
1,318
698
620
286
333
78
62
....
....
....
62
558
....
558
....
....
....

....
....
....
....
....
....
....
....
....
....
....

2,661
2,781
194
2,587
2,454
133
120
32
88
48
40

3,104
3,234
221
3,013
2,928
85
130
22
108
57
51

3,431
3,580
171
3,409
3,335
73
149
13
136
78
58

3,123
3,284
200
3,084
3,083
1
162
10
152
60
92

2,648
2,959
206
2,753
2,736
18
312
8
303
89
214

2,475
2,922
217
2,705
2,591
113
447
36
410
129
281

2,740
3,000
223
2,777
2,672
104
259
4
256
141
115

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

73
....
10
83
83
77
6
....
....
....
....
....
....

26
....
10
37
37
31
6
....
....
....
....
....
....

58
....
10
68
68
60
8
....
....
....
....
....
....

45
....
10
56
56
46
9
....
....
....
....
....
....

1,990
....
11
2,001
2,001
1,994
7
....
....
....
....
....
....

42
....
11
53
53
43
10
....
....
....
....
....
....

40
....
10
51
51
40
11
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1,074

2,107

2,085

1,694

1,592

1,430

32

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

493
....
....
....
....
....
....
....
....
....
....
....

271
....
....
....
....
....
....
....
....
....
....
....

194
....
....
....
....
....
....
....
....
....
....
....

1,006
....
....
....
....
....
....
....
....
....
....
....

321
....
....
....
....
....
....
....
....
....
....
....

158
....
....
....
....
....
....
....
....
....
....
....

568
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
286
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ecuador

248
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

493
519
119
119
....
....
400
26
26
....
....

271
532
136
136
....
....
395
260
260
....
....

194
562
151
151
....
....
411
368
368
....
....

1,006
527
229
229
....
....
298
479
479
....
....

321
534
278
278
....
....
256
212
212
....
....

158
478
265
265
....
....
213
320
320
....
....

568
559
226
226
....
....
333
9
9
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

366
228
22
....
....
22
....
....
206
....
....
206
....
....
594
2
....
....
....
2
....
593
....
....
593
....
....

1,384
641
61
....
....
61
....
....
580
....
....
580
....
....
743
....
....
....
....
....
....
743
....
....
743
....
....

118
116
40
....
....
40
....
....
76
....
....
76
....
....
3
....
....
....
....
....
....
3
....
....
3
....
....

213
217
5
....
....
5
....
....
212
....
....
212
....
....
4
1
....
....
....
1
....
5
....
....
5
....
....

3,142
152
110
....
....
110
....
....
42
....
....
42
....
....
2,989
2
....
....
....
2
....
2,992
....
....
2,992
....
....

731
721
534
....
....
534
....
....
187
....
....
187
....
....
10
....
....
....
....
....
....
11
....
....
11
....
....

41
48
141
....
....
141
....
....
189
....
....
189
....
....
7
2
....
....
....
2
....
9
....
....
9
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,220
882
....
882
403
238
....
1,523
....
337
....
....
337
279
35
593
570
....

1,120
2,149
....
2,149
780
579
....
1,948
....
1,029
....
....
1,029
41
49
4
1,018
....

665
1,962
....
1,962
141
90
163
1,748
....
1,297
....
....
1,297
....
18
303
976
....

1,959
1,776
....
1,776
2,739
265
34
1,262
....
184
....
....
184
17
46
598
351
....

542
1,454
....
1,454
2,523
241
283
1,112
....
1,996
....
399
1,597
21
91
1,607
59
....

834
123
....
123
4,023
727
203
3,621
....
712
....
....
712
18
82
700
51
....

241
2,381
....
2,381
6,864
29
284
4,796
....
2,140
....
....
2,140
18
85
1,985
221
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

714
65
32
....
680

125
101
15
....
211

1,495
170
16
....
1,309

954
30
3
....
921

686
184
4
....
866

1,169
269
1
....
1,436

336
106
2
18
214

NET ERRORS AND OMISSIONS.........................

....

528

341

89

535

140

187

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
287
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ecuador

248
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
10,288
12,953
16,528
19,040
19,964
19,393
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
1,159
....
....
....
....
....
....
1,159
....
....
1,159
....
....
....
6,982
....
6,982
....
6,982
....
....
....
2,147
433
22
25
1,667

....
....
....
....
....
....
....
1,800
....
....
....
....
....
....
1,800
....
....
1,800
....
....
....
9,130
....
9,130
....
9,130
....
....
....
2,023
534
8
26
1,456

....
....
....
....
....
....
....
1,916
....
....
....
....
....
....
1,916
....
....
1,916
....
....
....
11,092
....
11,092
....
11,092
....
....
....
3,521
704
24
27
2,765

....
....
....
....
....
....
....
1,699
....
....
....
....
....
....
1,699
....
....
1,699
....
....
....
12,868
....
12,868
....
12,868
....
....
....
4,473
735
26
26
3,686

....
....
....
....
....
....
....
1,851
....
....
....
....
....
....
1,851
....
....
1,851
....
....
....
14,322
....
14,322
....
14,322
....
....
....
3,792
919
26
27
2,820

....
....
....
....
....
....
....
2,572
....
....
....
....
....
....
2,572
....
....
2,572
....
....
....
14,199
....
14,199
....
14,199
....
....
....
2,622
1,187
25
26
1,384

22,062
....
....
....
....
....
....
....
....
....
2,524
....
....
....
....
....
....
2,524
....
....
2,524
....
....
....
16,580
....
16,580
....
16,580
....
....
....
2,958
1,293
23
44
1,597

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

26,263
9,861
9,861
9,861
....
....
....
....
....
....
4,791
69
....
....
....
69
....
4,723
....
....
4,723
....
....

26,825
10,132
10,132
10,132
....
....
....
....
....
....
4,048
69
....
....
....
69
....
3,980
....
....
3,980
....
....

28,313
10,326
10,326
10,326
....
....
....
....
....
....
4,045
69
....
....
....
69
....
3,976
....
....
3,976
....
....

29,131
11,333
11,333
11,333
....
....
....
....
....
....
4,042
70
....
....
....
70
....
3,971
....
....
3,971
....
....

28,330
11,654
11,654
11,654
....
....
....
....
....
....
1,052
73
....
....
....
73
....
979
....
....
979
....
....

29,181
11,812
11,812
11,812
....
....
....
....
....
....
1,042
73
....
....
....
73
....
969
....
....
969
....
....

31,880
12,380
12,380
12,380
....
....
....
....
....
....
1,035
75
....
....
....
75
....
960
....
....
960
....
....

_______________________________________________________________________________________________________________________________
288
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ecuador

248
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
11,611
....
47
11,563
33
1,057
....
5,875
....

....
12,645
....
50
12,595
....
....
....
....
....

....
13,941
....
52
13,889
....
....
....
....
....

....
13,756
....
51
13,705
....
....
....
....
....

....
15,623
....
452
15,171
452
....
....
....
....

....
16,327
....
444
15,883
444
....
....
....
....

....
18,464
....
443
18,021
443
....
....
....
....

....

15,975

13,872

11,784

10,091

8,366

9,788

9,818

_______________________________________________________________________________________________________________________________
289
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Egypt

469
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
2,103
2,635
412
1,415
3,349
4,504

5,484

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

27,913
47,312

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

3,645

3,134

7,911

11,173

11,309

16,943

20,705

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

5,831
82

5,933
163

8,562
240

10,072
314

8,305
345

12,836
397

15,566
345

B. Capital Account........................................... 20999F B AA

....

40

36

19

39

45

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
40

2,063

5
41

2,600

5
3

414

1
1

1,415

1
20

3,368

....
40

4,543

3
48

5,529

C. Financial Account......................................... 30999F N AA

....

5,591

297

3,023

5,274

1,336

6,470

11,351

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

92
....
92

148
....
148

665
....
665

1,920
....
1,920

571
....
571

1,176
....
1,176

626
....
626

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

5,376
....
5,376

10,043
72
9,971

11,578
101
11,478

9,495
390
9,105

6,712
1,008
5,704

6,386
1,360
5,026

483
540
1,022

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

60
60
....

703
703
....

846
846
....

623
623
....

267
267
....

445
445
....

220
220
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

3,528
729
2,799

3
502
499

2,728
3,199
471

7,027
674
6,353

260
393
653

10,887
1,724
9,162

10,431
711
9,720

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

3,246
....
3,246

9,743
....
9,743

5,498
....
5,498

4,633
....
4,633

5,879
....
5,879

11,185
....
11,185

2,876
....
2,876

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

85
....
85

7,653

252
....
252

1,182
....
1,182

717
....
717

1,601
....
1,601

2,003
....
2,003

2,467
....
2,467

D. Net Errors and Omissions............................. 40999S N AA

....

2,427

E. Reserves and Related Items.......................... 4Z999S N AA

....

5,226

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

6,319
....
1,093

Conversion rates: Egyptian pounds per U.S.


dollar............................................................. RFZ F B

....

5.7788

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

16,073
23,818

2006

20,546
28,984

2007

24,455
39,354

2008

29,849
49,608

2009

23,089
39,907

25,024
45,145

7,745

8,438

14,900

19,759

16,818

20,120

19,398

14,643
10,508

16,135
11,569

19,943
14,342

24,912
17,615

21,520
13,935

23,807
14,718

19,140
14,070

3,611

3,873

9,299

12,462

9,233

11,031

14,328

1,425
1,460

2,560
1,822

3,309
1,921

3,065
1,776

992
3,068

534
6,446

318
6,695

2,303

3,436

3,859

2,033

1,927

634

251

2,937

3,687

3,608
....
671
5.7332

16,881

2,928

398

2,145

2,855

931

1,635

218

19,736

5,475
....
1,788

1,755
....
824

156
....
1,478

1,276
....
1,495

18,330
....
1,406

5.6354

5.4325

5.5446

5.6219

5.9328

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
290
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Egypt

469
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
2,103
2,635
412
1,415
3,349
4,504
GOODS AND SERVICES..................................... 1Z9999 B XN
....
3,611
3,873
9,299 12,462
9,233 11,031
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

30,716
34,326
7,745
16,073
16,073
....
....
23,818
23,818
....
4,135
14,643
10,508
....
....
....
....
4,746

36,680
40,553
8,438
20,546
20,546
....
....
28,984
28,984
....
4,565
16,135
11,569
....
....
....
....
5,489

44,398
53,697
14,900
24,455
24,455
....
....
39,354
39,354
....
5,601
19,943
14,342
....
....
....
....
6,949

54,761
67,223
19,759
29,849
29,849
....
....
49,608
49,608
....
7,297
24,912
17,615
....
....
....
....
8,160

44,609
53,842
16,818
23,089
23,089
....
....
39,907
39,907
....
7,585
21,520
13,935
....
....
....
....
6,698

48,831
59,862
20,120
25,024
25,024
....
....
45,145
45,145
....
9,089
23,807
14,718
....
....
....
....
7,916

5,484
14,328
47,053
61,381
19,398
27,913
27,913
....
....
47,312
47,312
....
5,070
19,140
14,070
....
....
....
....
8,199

3,731

4,525

6,017

7,321

5,701

6,575

6,474

6,851
....
....
1,629
80
1,549
3,046
503
58
137
136
387
1,549
83
194
5,148
231
781
198
182
433
2,301
22
1,001

7,591
....
....
1,784
79
1,705
3,055
430
36
149
138
547
1,337
116
301
5,260
166
978
67
159
339
2,232
39
1,281

9,303
....
....
2,446
102
2,344
3,691
984
82
86
122
845
1,197
92
284
5,879
257
1,282
85
241
507
2,224
29
1,255

10,985
....
....
2,915
80
2,835
5,767
1,345
216
269
....
1,830
1,789
74
244
7,378
335
1,584
72
322
864
2,843
80
1,280

10,755
....
....
2,538
120
2,419
4,066
676
75
196
....
1,013
1,787
103
218
5,696
262
1,355
91
285
610
1,860
66
1,170

12,528
....
....
2,240
168
2,072
3,363
711
97
180
....
996
1,092
99
189
5,903
386
1,459
34
226
499
1,490
82
1,727

8,707
....
....
2,203
102
2,100
2,233
395
151
123
....
894
455
108
109
5,393
267
1,476
37
232
443
1,965
34
941

....
....
....
....
....
....
....
....
....
....
....

35
1,425
1,460
....
....
1,425
92
92
92
....
....

738
2,560
1,822
....
....
2,560
110
110
110
....
....

1,388
3,309
1,921
....
....
3,309
46
46
46
....
....

1,289
3,065
1,776
....
....
3,065
61
61
61
....
....

2,076
992
3,068
....
....
992
79
79
79
....
....

5,912
534
6,446
....
....
534
169
169
169
....
....

6,377
318
6,695
....
....
318
97
97
97
....
....

355
522
3,869
303
3,222
207

542
674
4,273
372
3,865
288

1,024
610
5,315
440
5,129
448

1,119
915
6,126
475
6,449
398

1,002
782
4,915
403
5,053
245

1,105
1,394
5,416

456
5,827
293

626
1,700
5,873

372
5,895
208

_______________________________________________________________________________________________________________________________
291
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Egypt

469
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

132
....
....
....
132
1,201
....
1,201
....
....
....
....
1,460
647
647
647
....
....
153
....
....
....
153
661
....
661
....
....
....

152
....
....
....
152
2,298
....
2,298
....
....
....
....
1,822
915
915
843
72
....
209
....
....
....
209
699
....
699
....
....
....

679
....
....
....
679
2,585
....
2,585
....
....
....
....
1,921
1,015
1,015
914
101
....
180
....
....
....
180
726
....
726
....
....
....

1,118
....
....
....
1,118
1,886
....
1,886
....
....
....
....
1,776
680
680
290
390
....
365
....
....
....
365
732
....
732
....
....
....

691
....
....
....
691
221
....
221
....
....
....
....
3,068
2,101
2,101
1,093
1,008
....
229
....
....
....
229
739
....
739
....
....
....

199
....
....
....
199
167
....
167
....
....
....
....
6,446
5,268
5,268
3,909
1,360
....
560
....
....
....
560
617
....
617
....
....
....

80
....
....
....
80
141
....
141
....
....
....
....
6,695
5,079
5,079
4,540
540
....
1,013
....
....
....
1,013
603
....
603
....
....
....

....
....
....
....
....
....
....
....
....
....
....

5,748
5,831
766
5,064
5,017
47
82
25
57
57
....

5,770
5,933
541
5,392
5,330
63
163
28
135
135
....

8,322
8,562
824
7,738
7,656
82
240
60
180
180
....

9,758
10,072
1,324
8,749
8,694
55
314
63
250
241
9

7,960
8,305
1,086
7,219
7,150
70
345
75
271
255
16

12,439
12,836
298
12,538
12,453
85
397
79
318
305
13

15,221
15,566
1,152
14,414
14,324
90
345
44
301
293
8

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

40
....
....
....
....
....
....
....
40
40
....
40
....

36
....
....
5
....
....
....
5
41
40
....
40
1

2
....
....
5
....
....
....
5
3
....
....
....
3

1
....
....
1
....
....
....
1
1
....
....
....
1

19
....
....
1
....
....
....
1
20
....
....
....
20

39
....
....
....
....
....
....
....
40
....
....
....
40

45
....
....
3
....
....
....
3
48
....
....
....
48

FINANCIAL ACCOUNT........................................ 30999S N AA

....

364

3,234

664

4,343

2,970

6,688

8,384

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

5,284
92
....
....
....
....
....
....
92
92
....
....

9,894
148
....
....
....
....
....
....
148
148
....
....

10,913
665
....
....
....
....
....
....
665
665
....
....

7,574
1,920
....
....
....
....
....
....
1,920
1,920
....
....

6,140
571
....
....
....
....
....
....
571
571
....
....

5,210
1,176
....
....
....
....
....
....
1,176
1,176
....
....

1,108
626
....
....
....
....
....
....
626
626
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
292
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Egypt

469
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

5,376
....
....
....
....
....
....
5,376
5,376
....
....

10,043
72
....
....
....
....
72
9,971
9,971
....
....

11,578
101
....
....
....
....
101
11,478
11,478
....
....

9,495
390
....
....
....
....
390
9,105
9,105
....
....

6,712
1,008
....
....
....
....
1,008
5,704
5,704
....
....

6,386
1,360
....
....
....
....
1,360
5,026
5,026
....
....

483
540
....
....
....
....
540
1,022
1,022
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,468
60
60
....
....
....
60
....
....
....
....
....
....
....
3,528
729
....
....
....
729
....
2,799
....
....
2,799
....
....

700
703
703
....
....
....
703
....
....
....
....
....
....
....
3
502
....
....
....
502
....
499
....
....
499
....
....

3,574
846
846
....
....
....
846
....
....
....
....
....
....
....
2,728
3,199
....
....
....
3,199
....
471
660
....
1,131
....
....

7,650
623
623
....
....
....
623
....
....
....
....
....
....
....
7,027
674
....
....
....
674
....
6,353
....
....
6,353
....
....

527
267
267
....
....
....
267
....
....
....
....
....
....
....
260
393
....
....
....
393
....
653
....
....
653
....
....

10,442
445
445
....
....
....
445
....
....
....
....
....
....
....
10,887
1,724
....
....
....
1,724
....
9,162
....
....
9,162
....
....

10,652
220
220
....
....
....
220
....
....
....
....
....
....
....
10,431
711
....
....
....
711
....
9,720
....
....
9,720
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,068
3,246
....
3,246
....
2,765
....
481
....
1,178
....
....
1,178
2
128
808
1,860
....

8,820
9,743
....
9,743
100
8,573
....
1,070
....
923
....
....
923
3
300
1,026
2,246
....

2,529
5,498
....
5,498
101
4,585
....
812
....
2,970
....
....
2,970
16
930
4
2,028
....

6,173
4,633
....
4,633
17
10,123
....
5,507
....
1,541
....
....
1,541
15
1,107
1,169
1,588
....

2,799
5,879
....
5,879
71
2,407
....
3,401
....
3,079
....
1,191
1,888
2
385
547
2,818
....

7,688
11,185
....
11,185
24
6,291
....
4,919
....
3,498
....
....
3,498
14
2,203
656
1,965
....

1,814
2,876
....
2,876
20
4,999
....
2,104
....
1,061
....
....
1,061
57
2,035
791
1,821
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

6,319
....
55
....
6,374

3,608
....
14
....
3,594

5,475
....
7
....
5,469

1,755
....
22
....
1,777

156
....
1,191
....
1,347

1,276
....
22
....
1,298

18,330
....
1
....
18,331

NET ERRORS AND OMISSIONS.........................

....

2,427

634

251

2,928

398

2,145

2,855

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
293
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Egypt

469
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
46,723
61,559
76,365
67,351
72,700
79,160
Direct investment............................................. 8A9999 A AA
....
967
1,116
1,781
3,701
4,273
5,448
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
2,150
898
....
879
....
20
....
1,252
....
1,252
....
....
....
....
22,374
....
22,374
591
11,593
....
10,190
....
21,231
1,259
101
....
19,872

....
....
....
....
....
....
....
2,434
886
....
865
....
21
....
1,548
....
1,548
....
....
....
....
32,854
....
32,854
884
19,706
....
12,264
....
25,155
1,526
121
....
23,509

....
....
....
....
....
....
....
2,779
1,098
....
1,079
....
19
....
1,681
....
1,681
....
....
....
....
40,628
....
40,628
2,787
23,547
....
14,294
....
31,178
2,042
134
....
29,002

....
....
....
....
....
....
....
1,947
911
....
892
....
19
....
1,036
....
1,036
....
....
....
....
28,656
....
28,656
1,436
13,572
....
13,648
....
33,047
2,113
108
....
30,825

....
....
....
....
....
....
....
4,120
966
....
884
....
82
....
3,155
....
1,854
....
1,301
....
....
30,839
....
30,839
1,672
15,807
....
13,360
....
33,468
2,684
1,306
....
29,478

....
....
....
....
....
....
....
9,691
961
....
937
....
24
....
8,730
....
8,688
....
42
....
....
28,596
....
28,596
775
15,156
....
12,665
....
35,425
3,388
1,261
....
30,776

57,165
6,074
....
....
....
....
....
....
....
....
3,369
796
....
781
....
16
....
2,573
....
2,573
....
....
....
....
30,358
....
30,358
942
16,526
....
12,890
....
17,365
3,819
1,258
....
12,288

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

62,997
28,882
....
....
....
....
....
....
....
....
6,058
2,676
....
....
....
2,676
....
3,382
....
....
3,382
....
....

72,574
38,925
....
....
....
....
....
....
....
....
6,063
3,178
....
....
....
3,178
....
2,885
....
....
2,885
....
....

84,944
50,503
....
....
....
....
....
....
....
....
4,032
....
....
....
....
....
....
4,032
....
....
4,032
....
....

94,588
59,997
....
....
....
....
....
....
....
....
4,433
1,495
....
....
....
1,495
....
2,938
....
....
2,938
....
....

102,439
66,709
....
....
....
....
....
....
....
....
4,108
1,757
....
....
....
1,757
....
2,351
....
....
2,351
....
....

123,261
73,095
....
....
....
....
....
....
....
....
18,241
3,481
....
....
....
3,481
....
14,760
....
....
14,760
....
....

110,390
72,612
....
....
....
....
....
....
....
....
6,526
2,770
....
....
....
2,770
....
3,756
....
....
3,756
....
....

_______________________________________________________________________________________________________________________________
294
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Egypt

469
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Egyptian pounds per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
28,057
....
194
27,863
931
2,262
16,917
7,754
....

....
27,586
....
204
27,382
343
2,014
17,051
7,975
....

....
30,409
....
215
30,194
311
2,588
18,605
8,690
....

....
30,158
....
209
29,949
210
2,023
23,638
4,079
....

....
31,621
....
1,408
30,213
142
1,924
24,000
4,147
....

....
31,925
....
1,384
30,542
80
1,985
23,768
4,709
....

....
31,252
....
1,379
29,873
264
1,571
23,273
4,765
....

....

16,275

11,014

8,579

27,238

29,738

44,101

53,225

....

5.7322

5.7036

5.5038

5.5041

5.4754

5.7926

6.0169

_______________________________________________________________________________________________________________________________
295
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

El Salvador

253
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
621.6
765.6 1,216.6 1,532.2
312.2
575.9 1,070.1
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

3,656.4

4,237.6

4,962.2

5,278.8

3,754.0

4,174.5

4,911.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

3,106.2
71.4

3,548.8
76.8

3,841.3
95.7

3,846.7
100.1

3,558.9
117.1

3,670.1
71.6

3,919.2
78.2

B. Capital Account........................................... 20999F B AA

....

93.6

96.8

152.8

79.8

131.2

232.0

266.4

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

94.0
.4

528.0

97.3
.5

153.8
1.0

80.6
.8

132.0
.8

233.0
1.0

267.2
.7

C. Financial Account......................................... 30999F N AA

....

786.7 1,199.9

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

112.9
14.3
98.6

26.3
1.1
25.2

95.2
3.5
98.7

79.4
14.5
65.0

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

511.1
512.1
1.0

241.1
226.9
14.2

1,550.5
1,447.3
103.2

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

38.7
48.6
9.9

49.7
56.3
6.6

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

86.4
....
86.4

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

1,864.1
5,393.5

2,254.7
6,338.8

2,793.7
7,534.0

3,275.5
8,388.8

2,923.6
6,430.0

3,473.2
7,495.4

4,242.6
9,014.8

3,529.4

4,084.1

4,740.3

5,113.3

3,506.4

4,022.2

4,772.2

1,478.0
1,114.7

1,516.0
1,231.9

1,555.7
1,321.3

1,534.3
1,310.7

1,292.2
983.9

1,498.0
1,099.7

1,636.0
1,142.8

3,166.1

3,800.1

4,505.9

4,889.7

3,198.1

3,623.9

4,278.9

174.7
665.0

234.4
671.9

308.0
764.3

179.3
568.3

77.0
632.9

63.5
614.1

66.6
698.8

668.8

1,063.8

1,452.4

181.0

343.9

803.7

559.7 1,621.8

88.1

161.5

659.9

3.0
.1
2.9

145.2
19.2
126.0

137.9
3.8
141.7

903.1
538.1
365.0

368.7
241.1
127.6

261.9
357.1
95.2

247.4
215.4
32.0

103.4
65.9
169.3

195.7
196.5
392.2

350.2
349.0
1.2

118.2
115.4
2.8

99.4
2.8
102.2

715.1
....
715.1

63.4
....
63.4

65.1
....
65.1

396.9
....
396.9

3.2
....
3.2

1.0
....
1.0

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

246.7
....
246.7

72.7
....
72.7

472.5
....
472.5

25.7
....
25.7

646.1
....
646.1

109.6
....
109.6

110.4
....
110.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

510.0
....
510.0

258.7

95.0
....
95.0

531.2

256.4
....
256.4

641.8
....
641.8

554.8
....
554.8

266.5
....
266.5

284.6
....
284.6

D. Net Errors and Omissions............................. 40999S N AA

....

449.0

484.5

783.1

164.1

693.2

209.5

270.1

E. Reserves and Related Items.......................... 4Z999S N AA

....

190.3

46.6

279.0

333.5

424.2

296.0

413.9

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

190.3
....
....

46.6
....
....

279.0
....
....

333.5
....
....

424.2
....
....

296.0
....
....

413.9
....
....

504.1

169.4

269.0

505.5

143.8

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
296
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

El Salvador

253
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
621.6
765.6 1,216.6 1,532.2
312.2
575.9 1,070.1
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 3,166.1 3,800.1 4,505.9 4,889.7 3,198.1 3,623.9 4,278.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
3,342.1
3,770.7
4,349.4
4,809.8
4,215.8
4,971.1
5,878.6
....
6,508.2
7,570.7
8,855.3
9,699.5
7,413.8
8,595.0 10,157.6
. . . . 3,529.4 4,084.1 4,740.3 5,113.3 3,506.4 4,022.2 4,772.2
....
1,864.1 2,254.7 2,793.7 3,275.5 2,923.6 3,473.2 4,242.6
....
1,863.8
2,254.7
2,793.7
3,273.7
2,919.8
3,465.1
4,242.5
....
....
....
....
....
....
....
....
....
.3
....
....
1.8
3.7
8.0
.1
....
5,393.5 6,338.8 7,534.0 8,388.8 6,430.0 7,495.4 9,014.8
....
5,393.5
6,338.8
7,534.0
8,388.8
6,430.0
7,495.4
9,014.8
....
....
....
....
....
....
....
....
....
363.3
284.1
234.4
223.6
308.3
398.3
493.3
....
1,478.0
1,516.0
1,555.7
1,534.3
1,292.2
1,498.0
1,636.0
....
1,114.7
1,231.9
1,321.3
1,310.7
983.9
1,099.7
1,142.8
....
507.3
451.9
370.5
417.6
368.5
447.2
472.8
....
....
....
....
....
....
....
....
....
25.0
49.2
51.2
58.6
60.8
74.8
90.0
....
40.1
52.9
46.2
39.7
30.8
29.8
36.7
....
364.7
370.3
376.5
354.9
276.4
304.5
381.9
294.6
304.2
311.1
285.7
229.6
255.6
314.0
....
....
7.2
6.8
6.6
6.9
5.9
6.0
7.9
....
63.0
59.3
58.8
62.3
40.9
42.9
60.0
....
520.1
565.1
609.6
657.6
450.4
466.8
488.1
82.3
82.5
84.8
84.8
66.3
61.4
41.3
....
....
353.4
394.2
424.7
478.3
312.3
330.2
359.0
....
84.4
88.4
100.1
94.5
71.9
75.2
87.9
....
360.9
381.5
482.1
424.5
319.3
390.0
414.8
....
44.9
50.0
127.1
67.0
56.4
76.0
39.5
....
316.0
331.5
355.0
357.5
262.9
314.0
375.4
....
206.1
224.0
278.5
240.8
186.7
218.9
202.5
....
38.6
41.7
58.1
34.7
29.9
31.7
11.6
....
167.5
182.4
220.4
206.1
156.8
187.3
191.0
....
220.1
263.1
275.3
278.6
267.2
281.6
276.5
....
24.1
45.4
22.9
33.1
24.9
18.4
13.8
....
32.4
34.7
37.1
45.5
57.1
29.3
28.1
....
7.1
3.4
4.2
1.4
.9
3.0
5.3
....
2.4
.5
.3
1.4
.4
.4
.3
....
102.6
118.4
153.9
150.7
137.0
168.8
146.5
....
21.2
21.9
17.3
18.8
17.6
29.6
24.9
....
....
....
....
....
.1
....
....
....
30.3
38.8
39.6
27.9
29.1
32.2
57.7
....
348.5
389.9
387.0
372.6
315.9
384.1
415.5
....
12.7
8.5
8.0
13.6
10.3
6.3
7.1
....
109.2
133.4
126.1
140.5
124.5
125.5
136.7
....
13.0
9.3
9.8
11.9
7.8
7.8
10.6
....
30.4
27.3
24.1
33.7
26.1
31.5
40.0
....
21.7
21.3
29.5
38.3
26.9
40.3
77.0
....
138.1
162.3
156.4
100.3
88.3
126.0
108.6
....
1.6
1.3
1.9
1.0
.6
1.3
.9
....
21.8
26.4
31.2
33.3
31.6
45.4
34.6
....
....
....
....
....
....
....
....
....
....
....

490.3
174.7
665.0
11.3
24.0
163.4
14.4
1.4
1.4
....
13.0

437.5
234.4
671.9
11.9
28.0
222.5
19.6
2.2
2.2
....
17.4

456.3
308.0
764.3
13.8
27.5
294.2
26.0
2.4
2.4
....
23.6

389.1
179.3
568.3
12.8
18.5
166.5
14.5
1.7
1.7
....
12.7

556.0
77.0
632.9
15.2
20.0
61.8
7.1
3.2
3.2
....
3.9

550.6
63.5
614.1
16.5
22.1
47.0
7.2
7.2
.4
6.9
....

632.2
66.6
698.8
16.5
27.3
50.1
6.4
6.4
1.0
5.4
....

_______________________________________________________________________________________________________________________________
297
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

El Salvador

253
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

36.9
....
....
....
36.9
112.1
....
112.1
....
....
....
....
641.0
181.0
143.8
87.7
56.1
37.2
134.4
....
....
....
134.4
325.6
....
325.6
....
....
....

40.2
....
....
....
40.2
162.7
....
162.7
....
....
....
....
643.9
91.1
45.2
41.9
3.3
45.9
175.4
....
....
....
175.4
377.4
....
377.4
....
....
....

35.5
....
....
....
35.5
232.7
....
232.7
....
....
....
....
736.7
158.7
121.1
119.2
1.9
37.6
182.5
....
....
....
182.5
395.6
....
395.6
....
....
....

21.9
....
....
....
21.9
130.1
....
130.1
....
....
....
....
549.8
39.4
6.3
.1
6.2
33.1
171.4
....
....
....
171.4
339.1
....
339.1
....
....
....

4.3
....
....
....
4.3
50.4
....
50.4
....
....
....
....
612.9
175.3
161.9
52.6
109.2
13.5
170.6
....
....
....
170.6
267.0
....
267.0
....
....
....

1.5
....
....
....
1.5
38.3
....
38.3
....
....
....
....
592.0
215.2
209.2
2.7
206.5
6.0
157.7
....
....
....
157.7
219.0
....
219.0
....
....
....

1.2
....
....
....
1.2
42.5
....
42.5
....
....
....
....
671.5
251.9
247.7
196.6
51.1
4.1
186.4
....
....
....
186.4
233.3
....
233.3
....
....
....

....
....
....
....
....
....
....
....
....
....
....

3,034.8
3,106.2
19.2
3,087.0
3,017.3
69.7
71.4
....
71.4
....
71.4

3,472.0
3,548.8
14.8
3,534.0
3,470.8
63.2
76.8
....
76.8
....
76.8

3,745.6
3,841.3
40.9
3,800.5
3,695.3
105.2
95.7
....
95.7
....
95.7

3,746.6
3,846.7
17.2
3,829.6
3,742.0
87.6
100.1
....
100.1
....
100.1

3,441.8
3,558.9
17.9
3,541.0
3,387.2
153.9
117.1
....
117.1
....
117.1

3,598.6
3,670.1
93.8
3,576.3
3,430.9
145.4
71.6
....
71.6
....
71.6

3,841.0
3,919.2
80.2
3,839.0
3,648.9
190.1
78.2
....
78.2
....
78.2

....
....
....
....
....
....
....
....
....
....
....
....
....

93.6
....
....
94.0
42.4
....
42.4
51.6
.4
....
....
....
.4

96.8
....
....
97.3
43.9
....
43.9
53.4
.5
....
....
....
.5

152.8
....
....
153.8
96.2
....
96.2
57.6
1.0
....
....
....
1.0

79.8
....
....
80.6
18.0
....
18.0
62.6
.8
....
....
....
.8

131.2
....
....
132.0
57.4
....
57.4
74.6
.8
....
....
....
.8

232.0
....
....
233.0
125.3
....
125.3
107.7
1.0
....
....
....
1.0

266.4
....
....
267.2
179.4
....
179.4
87.8
.7
....
....
....
.7

FINANCIAL ACCOUNT........................................ 30999S N AA

....

977.0 1,153.3

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

398.2
112.9
14.3
14.3
14.3
....
....
....
98.6
98.6
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

280.7 1,288.3

267.4 1,455.3
26.3
95.2
1.1
3.5
1.1
3.5
1.1
3.5
....
....
....
....
....
....
25.2
98.7
25.2
98.7
....
....
....
....

823.6
79.4
14.5
14.5
14.5
....
....
....
65.0
65.0
....
....

512.3
365.8
3.0
.1
.1
.1
....
....
....
2.9
....
2.9
....

134.4 1,073.7
116.7
145.2
19.2
12.4
....
12.4
....
6.9
126.0
....
126.0
....

385.4
137.9
3.8
1.7
....
1.7
....
5.4
141.7
....
141.7
....

_______________________________________________________________________________________________________________________________
298
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

El Salvador

253
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

511.1
512.1
456.0
456.0
....
....
56.1
1.0
1.0
....
....

241.1
226.9
223.6
223.6
....
....
3.3
14.2
14.2
....
....

1,550.5
1,447.3
1,445.4
1,445.4
....
....
1.9
103.2
103.2
....
....

903.1
538.1
531.9
531.9
....
....
6.2
365.0
365.0
....
....

368.7
241.1
131.9
131.9
....
....
109.2
127.6
127.6
....
....

261.9
357.1
150.6
150.6
....
....
206.5
95.2
95.2
....
....

247.4
215.4
164.3
164.3
....
....
51.1
32.0
32.0
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

125.1
38.7
48.6
....
23.2
20.6
4.8
....
9.9
....
....
....
9.9
....
86.4
....
....
....
....
....
....
86.4
30.5
....
116.9
....
....

764.8
49.7
56.3
....
69.4
12.7
.4
....
6.6
....
....
....
6.6
....
715.1
....
....
....
....
....
....
715.1
21.7
....
736.8
....
....

166.8
103.4
65.9
....
98.7
10.9
21.9
....
169.3
....
....
....
169.3
....
63.4
....
....
....
....
....
....
63.4
....
....
63.4
....
....

130.6
195.7
196.5
....
193.0
1.9
5.3
....
392.2
....
....
....
392.2
....
65.1
....
....
....
....
....
....
65.1
....
....
65.1
....
....

747.1
350.2
349.0
....
371.5
2.2
20.3
....
1.2
....
....
....
1.2
....
396.9
....
....
....
....
....
....
396.9
....
....
396.9
....
....

121.4
118.2
115.4
....
119.3
5.0
1.1
....
2.8
....
....
....
2.8
....
3.2
....
....
....
....
....
....
3.2
....
....
3.2
....
....

100.4
99.4
2.8
....
....
....
2.8
....
102.2
....
108.2
....
6.0
....
1.0
....
....
....
....
....
....
1.0
....
....
1.0
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

263.3
246.7
....
246.7
....
182.0
....
64.7
....
510.0
....
....
510.0
5.0
11.4
41.4
452.2
....

167.7
72.7
....
72.7
....
50.3
....
22.4
....
95.0
....
....
95.0
67.7
249.9
42.3
454.9
....

728.9
472.5
....
472.5
....
205.6
....
266.9
....
256.4
....
....
256.4
24.0
360.6
89.9
218.0
....

667.5
25.7
....
25.7
....
90.8
....
65.1
....
641.8
....
....
641.8
264.5
244.7
71.8
60.9
....

1,200.9
646.1
....
646.1
....
179.7
....
466.5
....
554.8
....
216.8
771.6
227.6
653.0
473.7
364.7
....

156.9
109.6
....
109.6
....
108.7
....
.9
....
266.5
....
....
266.5
58.1
333.0
285.1
160.4
....

174.1
110.4
....
110.4
....
277.0
....
387.4
....
284.6
....
....
284.6
102.1
15.2
65.8
101.5
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

190.3
....
....
....
190.3

46.6
....
....
....
46.6

279.0
....
....
....
279.0

333.5
....
.1
....
333.4

424.2
....
216.8
....
207.4

296.0
....
.1
....
295.9

413.9
....
....
....
413.9

NET ERRORS AND OMISSIONS.........................

....

449.0

484.5

783.1

164.1

693.2

209.5

270.1

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
299
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

El Salvador

253
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
5,425.7 5,705.5 6,659.2 6,780.2 7,125.3 7,005.6
Direct investment............................................. 8A9999 A AA
....
310.1
283.7
379.1
458.9
5.6
5.7
Equity and investment fund shares................. 8AA000 A AA
....
33.6
32.4
29.0
43.8
5.6
5.7
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

33.6
....
....
276.6
276.6
....
....
753.5
75.9
....
....
72.7
3.1
....
677.6
....
450.7
....
226.9
....
....
2,529.0
....
2,529.0
4.0
810.2
19.9
1,694.9
....
1,833.0
110.2
35.7
....
1,687.1

32.4
....
....
251.3
251.3
....
....
691.2
76.3
....
....
72.7
3.6
....
614.9
....
381.3
....
233.6
....
....
2,822.3
....
2,822.3
4.0
760.7
19.9
2,037.6
....
1,908.2
84.0
37.6
....
1,786.6

29.0
....
....
350.1
350.1
....
....
783.7
98.3
....
....
72.7
25.5
....
685.5
....
282.6
....
402.8
....
....
3,297.6
....
3,297.6
4.0
966.4
19.9
2,307.3
....
2,198.7
88.8
39.5
....
2,070.5

43.8
....
....
415.1
415.1
....
....
589.8
103.6
....
....
72.7
30.8
....
486.3
....
475.6
....
10.7
....
....
3,186.5
....
3,186.5
4.0
875.5
19.9
2,287.0
....
2,545.0
101.9
38.5
....
2,404.6

5.6
....
....
....
....
....
....
237.3
123.8
....
....
72.7
51.1
....
113.5
....
104.2
....
9.4
....
....
3,896.0
....
3,896.0
4.0
1,055.2
19.9
2,816.9
....
2,986.3
117.5
256.8
....
2,611.9

5.7
....
....
....
....
....
....
360.5
125.0
....
....
72.7
52.2
....
235.5
....
223.4
....
12.2
....
....
3,756.2
....
3,756.2
4.0
946.5
19.9
2,785.8
....
2,883.2
313.6
252.3
....
2,317.3

2011
6,695.5
5.7
5.7
5.7
....
....
....
....
....
....
262.9
129.6
....
....
72.7
56.8
....
133.3
....
115.1
....
18.2
....
....
3,922.7
....
3,922.7
4.0
669.7
19.9
3,229.1
....
2,504.2
351.3
251.5
....
1,901.4

. . . . 13,177.5 14,461.8 15,682.3 16,257.8 17,227.4 17,647.7 19,095.5


....
4,166.5 4,407.8 5,958.4 6,862.4 7,695.6 7,730.9 8,266.8
....
3,508.1 3,735.0 5,182.5 5,721.5 6,844.7 7,122.4 7,372.1
....
3,508.1
3,735.0
5,182.5
5,721.5
6,844.7
7,122.4
7,372.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
658.4
672.8
775.9 1,140.9
850.9
608.6
894.7
....
658.4
672.8
775.9
1,140.9
850.9
608.6
894.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,786.0 2,719.3 2,618.7 1,572.6 2,236.6 2,850.3 2,797.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,786.0 2,719.3 2,618.7 1,572.6 2,236.6 2,850.3 2,797.7
....
21.7
....
....
....
....
....
....
....
....
....
....
....
....
....
3.4
....
1,764.3
2,719.3
2,618.7
1,572.6
2,236.6
2,850.3
2,794.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
300
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

El Salvador

253
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
7,225.0
....
35.7
7,189.3
203.4
1,821.3
2,637.7
2,526.9
....

....
7,334.7
....
37.6
7,297.2
121.9
1,572.1
2,646.5
2,956.7
....

....
7,105.2
....
39.5
7,065.7
86.9
1,212.1
2,626.3
3,140.4
....

....
7,822.8
....
38.5
7,784.3
353.3
1,456.7
2,729.1
3,245.1
....

....
7,295.3
....
256.8
7,038.5
232.1
803.7
3,132.1
2,870.5
....

....
7,066.5
....
252.3
6,814.2
177.2
470.4
3,433.9
2,732.8
....

....
8,031.0
....
251.5
7,779.5
172.9
486.1
3,603.1
3,517.5
....

....

7,751.8 8,756.3 9,023.1 9,477.6 10,102.1 10,642.1 12,400.1

_______________________________________________________________________________________________________________________________
301
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Estonia

939
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
682.2
549.5
. . . . 1,386.4 2,585.5 3,503.2 2,216.6

477.0

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

Balance on goods......................................................... 1A9999 B XN

2005

7,160.2
9,045.9

2006

8,308.3
11,133.9

2007

9,926.3
13,491.7

2008

2009

11,340.9
14,147.1

7,901.0
8,694.2

10,242.9
10,725.2

14,535.1
15,246.3

4,459.4
2,541.4

4,672.0
2,776.8

5,807.2
3,671.2

1,885.6

2,825.6

3,565.4

2,806.2

....
....
....

3,209.8
2,202.4

878.3

3,524.9
2,482.5

1,783.3

4,456.4
3,079.6

2,188.6

5,108.4
3,366.9

1,064.6

1,124.9

1,412.9

1,424.9

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

730.7
1,300.3

1,447.9

1,091.5
1,956.4

2,648.2

1,662.3
3,112.6

3,638.9

1,693.2
3,014.6

2,386.0

913.3
1,615.6

930.2
2,112.7

1,200.5
2,498.7

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

465.6
404.1

528.9
466.2

652.7
517.1

621.5
452.0

637.6
378.1

736.1
417.1

843.2
493.0

B. Capital Account........................................... 20999F B AA

....

103.0

363.0

241.2

301.1

692.9

675.3

926.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

109.5
6.5

1,283.4

383.4
20.4

297.1
55.9

322.3
21.2

1,915.5

698.5
5.6

1,375.1

683.7
8.3

1,224.8

936.9
10.6

C. Financial Account......................................... 30999F N AA

....

1,520.1 3,028.6 3,321.6 2,545.7

1,312.6

2,237.6

1,317.1

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

873.5
619.7
253.9

1,536.6
867.4
669.2

2,451.7
1,347.9
1,103.8

1,254.6
426.5
828.1

1,531.1
1,252.9
278.2

589.1
361.9
227.2

1,320.1
1,609.5
289.4

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

3,127.3
2,998.4
128.9

2,212.2
1,436.0
776.2

3,429.0
2,253.0
1,176.0

1,873.3
1,586.6
286.7

1,866.7
2,333.0
466.3

2,051.7
1,774.2
277.4

436.1
805.9
369.8

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

871.6
387.7
483.9

1,214.6
366.9
847.7

735.5
662.6
72.9

947.0
377.2
569.8

683.1
70.9
612.2

397.3
398.8
1.5

1,411.7
137.7
1,274.1

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1,382.2
1,362.8
19.4

68.6
308.6
377.2

240.7
289.4
48.7

247.1
301.4
54.3

1,407.1
132.9
1,274.2

189.2
39.6
228.8

168.7
112.2
280.9

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

7.5
1.3
8.8

5.8
15.4
21.2

71.5
77.5
6.0

72.1
62.6
9.5

16.5
22.2
5.7

42.2
2.3
44.5

53.3
32.4
20.9

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

917.6
....
917.6

60.5
....
60.5

2,056.8
....
2,056.8

491.3
....
491.3

1,237.7
....
1,237.7

1,689.6
....
1,689.6

3,117.8
....
3,117.8

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

2,445.3
....
2,445.3

3,569.9
....
3,569.9

4,967.2
....
4,967.2

1,646.4
....
1,646.4

812.2
....
812.2

62.5

1,466.2
....
1,466.2

1,012.8

1,482.7
....
1,482.7

D. Net Errors and Omissions............................. 40999S N AA

....

148.8

185.4

50.7

91.3

30.7

99.0

69.3

E. Reserves and Related Items.......................... 4Z999S N AA

....

385.5

620.7

110.3

721.6

31.8 1,111.8

16.9

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

385.5
....
....

620.7
....
....

110.3
....
....

721.6
....
....

31.8
....
....

1,111.8
....
....

16.9
....
....

Conversion rates: krooni per U.S. dollar........... RFZ F B

....

12.5838

12.4655

11.4339

10.6944

11.2574

11.8068

....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Balance on goods and services...................................... 1Z9999 B XN

236.7

2,222.4

806.1

3,262.1

59.5

630.2

793.1

422.7

482.2

230.5

711.2

126.7

1,403.2

86.1

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
302
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Estonia

939
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
682.2
549.5
. . . . 1,386.4 2,585.5 3,503.2 2,216.6
GOODS AND SERVICES..................................... 1Z9999 B XN
....
878.3 1,783.3 2,188.6 1,064.6 1,124.9 1,412.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 10,370.0 11,833.1 14,382.7 16,449.3


. . . . 11,248.3 13,616.4 16,571.3 17,514.0
. . . . 1,885.6 2,825.6 3,565.4 2,806.2
....
7,160.2 8,308.3 9,926.3 11,340.9
....
7,025.4
8,126.0
9,738.8 11,201.9
....
134.7
177.1
174.2
110.5
....
.1
5.1
13.2
28.5
....
9,045.9 11,133.9 13,491.7 14,147.1
....
9,044.8 11,127.1 13,477.1 14,116.6
....
1.1
6.8
14.6
30.5
....
1,007.3 1,042.3 1,376.8 1,741.6
....
3,209.8
3,524.9
4,456.4
5,108.4
....
2,202.4
2,482.5
3,079.6
3,366.9
138.1
....
59.2
51.4
65.2
....
16.5
34.1
29.8
12.9
....
45.8
32.9
48.1
64.7
....
21.0
22.0
22.5
24.6
....
1,280.2 1,516.1 1,854.8 2,094.1
258.1
337.2
379.8
449.9
....
....
663.8
759.2
938.6
957.3
....
358.3
419.7
536.4
686.9
....
952.4 1,040.8 1,288.0 1,259.2
90.9
120.0
134.1
129.8
....
....
631.8
706.6
838.2
802.2
....
229.7
214.2
315.7
327.1
....
971.2 1,023.8 1,035.5 1,192.9
....
229.9
228.2
249.5
247.0
....
741.4
795.6
786.0
945.8
....
438.7
585.9
670.0
808.5
....
173.7
223.4
245.7
249.0
....
264.9
362.5
424.4
559.5
....
853.3
900.7 1,452.7 1,894.8
....
187.3
87.3
201.0
362.7
....
10.4
11.4
14.2
15.1
....
45.8
71.4
128.7
89.4
....
5.4
6.6
10.7
26.9
....
129.3
171.3
278.3
353.1
....
421.6
499.1
758.2
979.8
....
5.2
7.7
11.8
16.6
....
48.2
45.7
49.8
51.2
....
806.9
868.1 1,129.0 1,287.5
....
184.5
135.8
95.3
109.7
....
1.2
1.7
1.0
1.1
....
39.0
52.0
86.2
51.2
....
24.9
29.4
40.3
49.9
....
121.6
134.3
177.1
285.0
....
406.6
475.0
669.5
727.7
....
4.6
6.8
9.0
15.0
....
24.4
33.0
50.5
47.9
....
....
....
....
....
....
....
....
....
....
....

569.6
730.7
1,300.3
254.5
49.2
476.2
314.7
295.2
83.2
212.0
19.5

864.9 1,450.3 1,321.3


1,091.5
1,662.3
1,693.2
1,956.4
3,112.6
3,014.6
392.2
381.2
301.9
73.9
90.7
96.3
699.2 1,281.1 1,391.3
456.5
806.9
835.4
428.3
742.4
711.0
37.7
291.4
512.0
390.6
451.0
199.0
28.2
64.5
124.4

12,360.5 14,914.9
11,235.5 13,502.0
793.1
482.2
7,901.0 10,242.9
7,775.2 10,072.4
107.9
121.9
17.9
48.6
8,694.2 10,725.2
8,677.2 10,675.0
17.0
50.1
1,918.1 1,895.1
4,459.4
4,672.0
2,541.4
2,776.8
42.5
205.7
.3
25.5
54.9
36.8
14.9
15.6
1,669.9 1,811.4

354.8
708.1
607.1

347.0
848.3
616.1

2011
477.0
1,424.9
20,342.4
18,917.5
711.2
14,535.1
14,261.9
90.9
182.3
15,246.3
15,131.9
114.4
2,136.0
5,807.2
3,671.2
421.0
50.7
45.5
22.2
2,173.8

428.3
965.5
779.9

820.1

962.4

1,323.4

1,089.7
227.5
862.2
605.4
161.2
444.2
1,602.4
213.1
11.0
70.2
24.6
371.6
852.0
14.4
45.5
1,100.6
106.2
1.2
36.5
45.8
251.5
611.8
12.0
35.6

1,064.6
228.3
836.3
632.6
170.3
462.3
1,553.5
213.7
9.6
92.6
20.4
402.2
757.5
14.7
42.7
1,191.6
108.6
3.4
49.2
59.9
289.4
642.4
10.1
28.7

1,255.3
261.3
994.0
805.7
219.8
585.9
1,911.6
330.6
8.1
81.0
22.6
464.4
935.6
19.7
49.7
1,570.6
248.6
4.3
42.3
74.2
359.0
796.1
13.4
32.7

90.5
487.0
242.6

90.3
592.8
279.3

132.9
881.4
309.1

702.3 1,182.4 1,298.2


913.3
930.2
1,200.5
1,615.6
2,112.7
2,498.7
249.3
265.2
345.2
75.7
90.7
81.4
664.0
665.0
855.3
409.7
428.9
547.3
276.6
342.1
465.2
136.7
82.1
168.4
139.9
259.9
296.8
133.1
86.9
82.1

_______________________________________________________________________________________________________________________________
303
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Estonia

939
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

82.6
10.8
....
....
71.8
78.9
....
78.9
....
....
....
....
1,251.1
1,006.8
955.2
250.4
704.7
51.7
112.9
35.1
....
....
77.8
131.3
....
131.3
....
....
....

155.0
15.8
....
....
139.1
87.8
....
87.8
....
....
....
....
1,882.5
1,550.9
1,472.0
212.7
1,259.3
78.8
88.3
21.9
....
....
66.5
243.3
....
243.3
....
....
....

262.8
28.8
....
....
234.0
211.4
....
211.4
....
....
....
....
3,021.8
2,318.3
2,157.3
278.7
1,878.6
161.0
217.5
127.7
....
....
89.8
486.0
....
486.0
....
....
....

297.2
32.0
....
....
265.3
258.7
....
258.7
....
....
....
....
2,918.3
1,904.5
1,739.3
435.2
1,304.1
165.2
159.6
36.6
....
....
123.0
854.2
....
854.2
....
....
....

159.9
21.0
....
....
138.9
94.4
....
94.4
....
....
....
....
1,539.9
1,025.7
882.2
312.0
570.2
143.5
94.0
35.7
....
....
58.3
420.2
....
420.2
....
....
....

137.5
35.3
....
....
102.2
98.5
....
98.5
....
....
....
....
2,021.9
1,682.4
1,583.6
239.1
1,344.4
98.9
49.1
17.6
....
....
31.6
290.4
....
290.4
....
....
....

189.8
59.6
....
....
130.2
118.2
....
118.2
....
....
....
....
2,417.2
2,088.6
1,998.1
656.8
1,341.3
90.5
58.3
25.9
....
....
32.4
270.3
....
270.3
....
....
....

....
....
....
....
....
....
....
....
....
....
....

61.5
465.6
225.7
239.9
9.5
230.4
404.1
258.6
145.6
1.2
144.3

62.7
528.9
251.0
278.0
9.6
268.3
466.2
258.5
207.7
1.5
206.2

135.6
652.7
276.7
376.0
29.7
346.3
517.1
290.2
226.9
1.9
225.0

169.4
621.5
169.0
452.5
60.4
392.1
452.0
262.3
189.7
1.6
188.1

259.5
637.6
211.5
426.1
57.0
369.1
378.1
227.2
150.9
2.4
148.6

319.0
736.1
248.9
487.2
54.9
432.3
417.1
222.5
194.6
3.5
191.1

350.3
843.2
350.0
493.3
61.4
431.9
493.0
268.6
224.3
4.7
219.7

....
....
....
....
....
....
....
....
....
....
....
....
....

103.0
15.2
2.6
94.2
35.6
....
35.6
58.6
3.8
....
....
....
3.8

363.0
188.6
6.8
194.8
133.8
....
133.8
61.0
13.5
.1
....
.1
13.5

241.2
14.4
7.0
282.7
169.1
....
169.1
113.6
48.9
22.8
....
22.8
26.1

301.1
1.4
7.5
320.9
102.6
....
102.6
218.3
13.7
....
....
....
13.7

692.9
5.0
4.2
693.5
336.3
....
336.3
357.2
1.4
.1
....
.1
1.3

675.3
181.0
.2
502.7
264.5
....
264.5
238.2
8.1
.2
....
.2
7.9

926.3
268.9
4.8
668.0
315.2
....
315.2
352.7
5.8
5.8
....
5.8
....

1,134.6 2,407.9 3,211.3 1,824.1

1,344.4

1,125.8

1,334.0

FINANCIAL ACCOUNT........................................ 30999S N AA

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

. . . . 2,253.8
....
873.5
....
619.7
....
407.6
....
407.6
....
....
....
....
....
212.0
....
253.9
....
90.6
....
163.2
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

675.6
1,536.6
867.4
476.8
476.8
....
....
390.6
669.2
306.1
363.1
....

977.4
2,451.7
1,347.9
896.9
896.9
....
....
451.0
1,103.8
524.1
579.7
....

618.6
1,254.6
426.5
227.5
227.5
....
....
199.0
828.1
619.1
209.0
....

335.7 1,462.6 1,756.2


1,531.1
589.1 1,320.1
1,252.9
361.9 1,609.5
1,112.9
102.0 1,906.3
1,112.9
102.0 1,906.3
....
....
....
....
....
....
139.9
259.9
296.8
278.2
227.2
289.4
214.7
91.6
186.3
63.5
318.7
103.1
....
....
....

_______________________________________________________________________________________________________________________________
304
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Estonia

939
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

of which: Other financial corporations........................ 3BB000 L FA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

3,127.3
2,998.4
2,293.7
2,293.7
....
....
704.7
128.9
106.1
22.8
....

2,212.2
1,436.0
176.7
176.7
....
....
1,259.3
776.2
714.5
61.7
....

3,429.0
2,253.0
374.4
374.4
....
....
1,878.6
1,176.0
1,046.7
129.3
....

1,873.3
1,586.6
282.5
282.5
....
....
1,304.1
286.7
372.0
85.4
....

1,866.7
2,333.0
1,762.8
1,762.8
....
....
570.2
466.3
360.7
105.6
....

2,051.7
1,774.2
429.8
429.8
....
....
1,344.4
277.4
143.8
133.6
....

436.1
805.9
535.4
535.4
....
....
1,341.3
369.8
445.5
75.7
....

....
2,253.9
....
871.6
....
387.7
....
.3
....
10.1
....
.7
....
376.7
....
....
....
483.9
....
....
....
59.7
....
115.3
....
309.0
....
....
. . . . 1,382.2
. . . . 1,362.8
....
....
. . . . 1,807.9
....
....
....
445.1
....
....
....
19.4
....
....
....
224.7
....
10.5
....
194.8
....
....

1,283.3
1,214.6
366.9
....
.6
13.6
352.8
....
847.7
....
212.9
451.6
183.2
....
68.6
308.6
....
2.1
....
306.5
....
377.2
....
422.4
70.6
25.4
....

494.8
735.5
662.6
....
5.5
9.9
658.2
....
72.9
....
185.5
330.3
71.9
....
240.7
289.4
....
1.8
....
287.6
....
48.7
....
53.0
85.8
90.1
....

5.8
15.4
21.2

71.5
77.5
6.0

699.9 2,090.2
947.0
683.1
377.2
70.9
....
....
12.6
.9
.8
25.5
363.9
97.3
....
....
569.8
612.2
....
....
238.4
639.7
401.0
166.4
69.7
138.9
....
....
247.1 1,407.1
301.4
132.9
....
....
3.9
.3
....
....
297.5
133.2
....
....
54.3 1,274.2
....
....
32.3 1,239.3
56.2
33.1
30.3
68.1
....
....

586.5 1,580.4
397.3 1,411.7
398.8
137.7
....
....
.4
.3
8.3
10.0
406.7
147.4
....
....
1.5 1,274.1
....
881.2
94.7
295.0
4.5
284.7
91.7
186.8
....
....
189.2
168.7
39.6
112.2
....
....
3.0
1.9
....
....
36.6
110.3
....
....
228.8
280.9
....
....
55.4
.1
115.4
15.0
58.0
296.0
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

425.5 3,155.8 4,600.4


. . . . 1,527.7 3,630.4 2,910.5 1,155.1
....
917.6
60.5 2,056.8
491.3 1,237.7 1,689.6 3,117.8
....
....
....
....
....
....
....
....
....
917.6
60.5 2,056.8
491.3 1,237.7 1,689.6 3,117.8
....
.1
....
.1
.3
....
....
396.6
....
1,004.2
597.7
1,581.1
188.0 1,309.9
256.2
1,877.9
....
56.8
52.4
38.5
120.6
37.0
24.8
151.4
....
143.4
589.5
437.2
183.1
35.1
1,408.7
691.9
....
....
....
....
....
....
....
....
....
2,445.3 3,569.9 4,967.2 1,646.4
812.2 1,466.2 1,482.7
....
....
....
....
....
....
....
....
....
....
....
....
....
96.9
....
....
....
2,445.3 3,569.9 4,967.2 1,646.4
909.1 1,466.2 1,482.7
....
54.7
30.9
70.4
159.3
10.4
6.7
9.3
....
1,960.6
2,015.3
4,535.6
1,420.0
713.7 1,939.2 1,622.2
....
39.5
18.4
5.9
79.1
264.4
127.8
292.8
....
499.9
1,505.3
367.1
306.7
470.2
338.5
441.7
....
....
....
....
....
....
....
....

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

7.5
1.3
8.8

72.1
62.6
9.5

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

385.5
....
....
....
385.5

620.7
....
....
....
620.7

110.3
....
....
....
110.3

721.6
....
....
....
721.6

NET ERRORS AND OMISSIONS.........................

....

148.8

185.4

50.7

91.3

40999S N AA

16.5
22.2
5.7

42.2
2.3
44.5

31.8 1,111.8
....
....
96.9
....
....
....
65.1 1,111.8
30.7

99.0

53.3
32.4
20.9

16.9
....
....
....
16.9
69.3

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
305
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Estonia

939
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 11,586.5 16,877.3 25,324.5 23,898.8 24,064.4 23,696.8 24,184.6
Direct investment............................................. 8A9999 A AA
....
2,724.3 4,916.1 8,426.0 8,912.5 8,947.0 7,716.4 6,676.6
Equity and investment fund shares................. 8AA000 A AA
....
1,524.2 2,838.2 4,898.8 4,732.7 4,424.2 3,973.5 3,189.6
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,524.2
....
....
1,200.1
531.4
668.7
....
2,962.9
1,014.8
.3
14.7
9.3
990.6
....
1,948.1
....
186.8
926.6
834.7
....
27.2
3,922.6
....
3,922.6
1.7
2,555.5
152.4
1,212.9
....
1,949.5
4.2
.1
....
1,945.1

2,838.2
....
....
2,077.9
944.3
1,133.6
....
4,821.6
1,786.5
.3
21.3
24.2
1,740.7
....
3,035.0
....
430.9
1,499.6
1,104.6
....
46.0
4,302.9
....
4,302.9
1.8
2,190.7
111.4
1,999.0
....
2,790.7
5.2
.1
....
2,785.4

4,898.8
....
....
3,527.2
1,618.9
1,908.3
....
6,414.0
2,940.7
.3
17.3
39.4
2,883.8
....
3,473.3
....
300.5
2,005.1
1,167.6
....
137.9
7,051.7
....
7,051.7
2.0
4,070.2
164.5
2,815.0
....
3,295.0
6.9
.1
....
3,288.0

4,732.7
....
....
4,179.8
2,161.0
2,018.8
....
3,761.2
1,123.0
.3
3.0
37.6
1,082.1
....
2,638.2
....
69.4
1,488.4
1,080.4
....
74.4
7,227.3
....
7,227.3
1.6
4,050.4
286.3
2,889.0
....
3,923.4
7.1
.1
....
3,916.2

4,424.2
....
....
4,522.8
2,381.9
2,140.9
....
5,007.3
1,591.0
.3
3.3
12.6
1,574.7
....
3,416.3
....
775.4
1,364.2
1,276.8
....
45.3
6,082.9
....
6,082.9
1.7
2,781.7
325.4
2,974.0
....
3,982.0
9.1
97.2
....
3,875.6

3,973.5
3,189.6
....
....
....
....
3,742.8 3,487.0
2,107.1
1,816.9
1,635.7
1,670.1
....
....
5,333.6 5,411.3
2,133.6 2,079.3
.3
.3
3.6
7.6
3.7
12.5
2,126.0
2,058.9
....
....
3,200.1 3,332.0
....
694.9
828.8
513.7
1,256.8
958.1
1,114.5
1,165.3
....
....
45.0
88.5
8,052.3 11,800.7
....
....
8,052.3 11,800.7
1.6
1,104.0
2,859.9
4,823.1
325.3
484.1
4,865.5
5,389.4
....
....
2,549.6
207.5
11.6
13.0
95.5
95.2
....
....
2,442.4
99.3

. . . . 22,699.8 29,903.7 42,353.6 41,233.1 40,406.6 37,734.2 36,208.5


. . . . 12,074.4 14,018.2 19,006.5 18,669.0 19,126.9 18,637.3 18,663.9
. . . . 10,187.8 10,940.1 14,262.9 13,956.4 14,576.8 14,406.5 15,128.5
. . . . 10,187.8 10,940.1 14,262.9 13,956.4 14,576.8 14,406.5 15,128.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,886.6 3,078.1 4,743.6 4,712.6 4,550.2 4,230.8 3,535.3
....
1,770.5
2,893.0
4,392.5
4,449.1
4,376.2
3,925.5
3,269.0
....
116.1
185.1
351.1
263.5
174.0
305.3
266.3
....
....
....
....
....
....
....
....
....
3,380.6 3,898.3 4,594.5 2,904.2 1,873.1 1,894.9 1,717.2
....
1,195.7 1,884.6 2,442.7
730.7
878.1 1,193.5
821.0
....
....
....
....
....
....
....
....
....
.6
3.6
6.1
4.1
4.6
9.9
13.4
....
....
....
....
....
....
....
....
....
1,195.1
1,881.0
2,436.6
726.6
873.5
1,183.6
807.7
....
....
....
....
....
....
....
....
....
2,184.9 2,013.7 2,151.8 2,173.4
995.0
701.5
896.1
....
....
....
....
....
....
....
....
....
1,541.1
1,252.2
1,347.0
1,245.2
67.1
6.0
5.6
....
161.8
248.9
181.1
222.3
268.7
131.7
113.4
....
482.0
512.5
623.7
705.9
659.2
563.8
777.2
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
306
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Estonia

939
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

....
....
....
....
....
....
....
....
....
....
....

2005

2006

2007

2008

2009

2010

2011

10.0
33.2
47.3
68.3
70.0
122.3
103.6
7,234.8 11,954.0 18,705.3 19,591.6 19,336.5 17,079.6 15,723.8
....
....
....
....
....
....
....
....
....
....
....
97.1
95.4
95.1
7,234.8 11,954.0 18,705.3 19,591.6 19,239.4 16,984.2 15,628.7
3.7
38.6
125.7
10.0
16.6
11.0
.3
4,622.1
7,292.1 13,017.6 13,850.3 13,481.6 10,688.5
8,906.2
192.4
381.1
465.2
511.5
806.9
876.0
583.8
2,416.7
4,242.2
5,096.8
5,219.8
4,934.2
5,408.6
6,138.3
....
....
....
....
....
....
....

. . . . 11,113.3 13,026.5 17,029.1 17,334.3 16,342.2 14,037.4 12,023.9

Conversion rates: krooni per U.S. dollar (end


of period)...................................................... AEZ F B

....

13.2206

11.8818

10.6382

11.1052

10.8653

11.7107

....

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
307
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ethiopia

644
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
828.0 1,805.7 2,190.7
425.4
. . . . 1,567.8 1,785.9

783.1

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

3,029.0
8,328.9

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

2,969.8

3,059.7

4,215.3

6,101.0

5,649.7

5,330.1

5,912.7

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,426.0
23.9

1,297.2
23.4

3,414.9
27.5

4,343.8
48.5

3,499.7
40.7

4,987.9
83.2

5,172.9
43.3

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

1,567.8

....
....

1,785.9

....
....

828.0

....
....

....
....

....
....

....
....

C. Financial Account......................................... 30999F N AA

....

758.6

976.3

447.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

265.1
....
265.1

545.3
....
545.3

222.0
....
222.0

108.5
....
108.5

221.5
....
221.5

288.3
....
288.3

626.5
....
626.5

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

302.2
....
302.2

73.3
....
73.3

108.1
....
108.1

113.0
....
113.0

420.3
....
420.3

1,084.6
....
1,084.6

171.3
....
171.3

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

191.2
....
191.2

357.7
....
357.7

333.8
....
333.8

515.2
....
515.2

1,012.6
....
1,012.6

995.6
....
995.6

1,072.1
....
1,072.1

D. Net Errors and Omissions............................. 40999S N AA


E. Reserves and Related Items.......................... 4Z999S N AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

917.3
3,700.9

2006

1,055.5
4,105.6

2007

1,350.8
5,155.6

2008

1,718.6
7,206.3

2009

1,694.7
6,819.0

2,479.5
7,364.5

2,783.5

3,050.0

3,804.9

5,487.7

5,124.4

4,885.0

5,299.8

1,012.1
1,193.8

1,142.9
1,170.5

1,298.8
1,748.9

1,776.7
2,391.6

1,735.2
2,223.8

2,164.7
2,546.3

2,785.8
3,321.8

2,965.2

3,077.6

4,254.9

6,102.6

5,612.9

5,266.6

5,835.8

43.4
48.0

55.8
37.8

76.5
36.9

37.5
35.9

6.5
43.3

8.1
71.7

8.8
85.6

1,805.7

2,190.7

425.4

783.1

736.7 1,654.3 2,368.5 1,869.9

809.2

809.6

380.3

1,069.1

536.4

1,943.1

1,086.9

....

486.3

1,161.3

156.5

1,450.7

....

322.9

351.7

536.8

381.6 1,329.5

986.8

708.9

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

330.3
8.7
1.2

189.6
162.2
....

536.8
....
....

381.6
....
....

1,163.8
165.7
....

865.3
121.5
....

708.9
....
....

Conversion rates: birr per U.S. dollar............... RFZ F B

....

8.666

8.699

8.966

9.600

11.778

14.410

16.899

793.1 2,929.9 1,795.8

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
308
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ethiopia

644
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
828.0 1,805.7 2,190.7
425.4
783.1
. . . . 1,567.8 1,785.9
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 2,965.2 3,077.6 4,254.9 6,102.6 5,612.9 5,266.6 5,835.8
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
1,929.5
2,198.5
2,649.6
3,495.3
3,429.9
4,644.2
5,814.8
....
4,894.7
5,276.1
6,904.5
9,597.9
9,042.8
9,910.8 11,650.7
. . . . 2,783.5 3,050.0 3,804.9 5,487.7 5,124.4 4,885.0 5,299.8
....
917.3 1,055.5 1,350.8 1,718.6 1,694.7 2,479.5 3,029.0
....
917.3
1,024.7
1,284.9
1,554.7
1,538.1
2,400.0
2,980.8
....
....
30.9
65.9
163.9
156.5
79.5
48.2
....
....
....
....
....
....
....
....
....
3,700.9 4,105.6 5,155.6 7,206.3 6,819.0 7,364.5 8,328.9
....
3,700.9
4,105.6
5,155.6
7,206.3
6,819.0
7,364.5
8,328.9
....
....
....
....
....
....
....
....
....
181.7
27.6
450.0
614.9
488.6
381.5
536.0
....
1,012.1
1,142.9
1,298.8
1,776.7
1,735.2
2,164.7
2,785.8
....
1,193.8
1,170.5
1,748.9
2,391.6
2,223.8
2,546.3
3,321.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
466.4
584.7
733.1 1,048.5
992.5 1,177.5 1,582.1
365.3
477.2
614.4
806.9
790.0
912.2
1,240.1
....
....
63.3
81.9
88.0
141.8
113.6
178.0
231.4
....
37.7
25.6
30.7
99.8
88.8
87.3
110.6
....
765.4
635.2 1,123.3 1,613.1 1,477.9 1,655.1 2,100.2
.9
....
....
....
....
....
....
....
....
369.4
97.1
514.6
719.3
680.6
735.1
831.3
....
396.0
538.1
608.7
893.9
796.3
920.0
1,268.9
....
168.3
162.0
176.4
377.0
329.1
522.0
757.9
....
35.1
29.6
9.2
7.5
4.3
.3
.3
....
133.1
132.4
167.2
369.5
324.8
521.7
757.6
....
76.7
96.8
106.9
155.8
138.2
142.9
169.9
....
48.9
65.1
74.6
85.6
80.6
93.0
113.9
....
27.8
31.7
32.3
70.2
57.6
49.9
55.9
....
377.5
396.3
389.3
351.3
413.7
465.2
445.9
....
12.6
11.1
18.4
25.3
24.0
13.9
39.9
....
5.5
9.3
4.1
.8
.1
3.7
2.6
....
25.7
10.9
53.9
22.2
22.0
.2
.1
....
....
....
.1
.1
2.2
.2
....
....
40.7
55.5
85.3
76.4
99.8
101.4
128.2
....
70.0
25.0
42.0
41.9
45.6
92.3
38.1
....
....
.5
.4
.2
.8
....
....
....
223.0
284.0
185.1
184.3
219.2
253.4
236.9
....
351.8
438.6
518.7
622.7
607.7
748.3 1,051.7
....
120.9
178.7
261.8
290.7
288.4
361.0
479.1
....
56.3
64.6
69.6
97.2
90.9
104.1
115.6
....
3.3
1.3
1.9
.5
6.5
1.3
.2
....
.6
.8
2.1
1.7
2.8
1.0
2.9
....
21.3
34.5
21.3
22.2
57.0
29.4
112.4
....
133.7
142.4
146.6
179.4
125.0
239.0
328.2
....
....
....
....
....
....
....
....
....
15.8
16.3
15.4
31.0
37.1
12.4
13.3
....
....
....
....
....
....
....
....
....
....
....

4.6
43.4
48.0
....
....
43.4
.1
.1
.1
....
....

17.9
55.8
37.8
3.0
....
52.8
.1
.1
.1
....
....

39.5
76.5
36.9
1.9
....
74.6
.4
.4
.4
....
....

1.6
37.5
35.9
....
.1
37.5
.1
.1
.1
....
....

36.8
6.5
43.3
....
....
6.5
.1
.1
.1
....
....

63.5
8.1
71.7
....
1.9
8.1
....
....
....
....
....

76.8
8.8
85.6
....
....
8.8
....
....
....
....
....

_______________________________________________________________________________________________________________________________
309
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ethiopia

644
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
43.3
....
43.3
....
....
....
....
48.0
21.5
21.5
21.5
....
....
....
....
....
....
....
26.6
....
26.6
....
....
....

....
....
....
....
....
52.7
....
52.7
....
....
....
....
37.8
23.7
23.7
23.7
....
....
....
....
....
....
....
14.2
....
14.2
....
....
....

....
....
....
....
....
74.2
....
74.2
....
....
....
....
36.9
18.1
18.1
18.1
....
....
....
....
....
....
....
18.8
....
18.8
....
....
....

....
....
....
....
....
37.4
....
37.4
....
....
....
....
35.8
16.7
16.7
16.7
....
....
....
....
....
....
....
19.0
....
19.0
....
....
....

....
....
....
....
....
6.4
....
6.4
....
....
....
....
43.3
17.7
17.7
17.7
....
....
....
....
....
....
....
25.6
....
25.6
....
....
....

....
....
....
....
....
8.1
....
8.1
....
....
....
....
69.8
35.1
35.1
35.1
....
....
....
....
....
....
....
34.7
....
34.7
....
....
....

....
....
....
....
....
8.8
....
8.8
....
....
....
....
85.6
22.5
22.5
22.5
....
....
....
....
....
....
....
63.1
....
63.1
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,402.1
1,426.0
562.8
863.2
173.5
689.7
23.9
5.9
18.0
16.4
1.6

1,273.8
1,297.2
381.1
916.1
169.2
746.9
23.4
8.6
14.8
14.1
.7

3,387.3
3,414.9
1,338.3
2,076.5
355.9
1,720.6
27.5
11.5
16.0
14.6
1.4

4,295.3
4,343.8
1,633.0
2,710.9
386.7
2,324.2
48.5
21.4
27.2
21.2
6.0

3,459.1
3,499.7
889.1
2,610.7
261.6
2,349.1
40.7
10.5
30.2
26.5
3.6

4,904.7
4,987.9
2,131.2
2,856.7
345.2
2,511.5
83.2
35.3
48.0
64.4
16.4

5,129.6
5,172.9
1,692.9
3,480.1
513.2
2,966.8
43.3
10.2
33.1
19.1
14.0

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1,081.4

624.6

984.5

355.0 2,983.8 3,355.3 2,578.8

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

265.1
....
....
....
....
....
....
....
....
....
....
....

545.3
....
....
....
....
....
....
....
....
....
....
....

222.0
....
....
....
....
....
....
....
....
....
....
....

108.5
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

221.5
....
....
....
....
....
....
....
....
....
....
....

288.3
....
....
....
....
....
....
....
....
....
....
....

626.5
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
310
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ethiopia

644
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

265.1
....
....
....
....
....
....
265.1
265.1
....
....

545.3
....
....
....
....
....
....
545.3
545.3
....
....

222.0
....
....
....
....
....
....
222.0
222.0
....
....

108.5
....
....
....
....
....
....
108.5
108.5
....
....

221.5
....
....
....
....
....
....
221.5
221.5
....
....

288.3
....
....
....
....
....
....
288.3
288.3
....
....

626.5
....
....
....
....
....
....
626.5
626.5
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

486.0
302.2
....
302.2
....
245.8
....
56.5
....
183.7
....
....
183.7
25.8
1.0
224.9
16.4
....

268.9
73.3
....
73.3
....
60.0
....
13.3
....
195.6
....
....
195.6
166.6
13.6
332.8
15.8
....

225.7
108.1
....
108.1
....
171.8
....
63.6
....
333.8
....
....
333.8
1.8
49.1
302.6
19.7
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

330.3
11.2
.3
....
341.2

189.6
8.6
.1
.2
198.1

536.8
26.4
....
.1
510.5

NET ERRORS AND OMISSIONS.........................

....

486.3

1,161.3

156.5

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

628.1 1,598.5 2,201.8 1,243.4


113.0
420.3 1,084.6
171.3
....
....
....
....
113.0
420.3 1,084.6
171.3
....
....
....
....
68.9
245.5 1,118.7
175.5
....
....
....
....
44.1
174.8
34.1
4.2
....
....
....
....
515.2 1,178.2 1,117.2 1,072.1
....
....
....
....
....
182.5
....
....
515.2
995.7 1,117.2 1,072.1
26.3
180.5
157.5
51.9
64.8
69.1
78.8
204.4
455.2
742.8
841.3
773.1
31.1
3.3
39.6
42.8
....
....
....
....
381.6 1,163.8
43.1
15.7
....
25.8
.1
.1
338.4 1,174.0
1,450.7

865.3
12.1
121.1
....
974.3

708.9
3.9
.2
....
704.8

793.1 2,929.9 1,795.8

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
311
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Euro Area

163
Table 1. ANALYTIC PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
19.18
.33
24.86 199.94
26.08
10.09

5.02

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

1,529.17
1,463.75

1,760.24
1,730.92

2,086.30
2,010.54

2,328.92
2,349.24

1,817.46
1,770.06

2,073.17
2,053.35

2,466.57
2,460.16

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

497.46
456.44

548.72
502.70

75.33

671.64
613.71

133.69

750.61
690.95

667.38
617.65

692.22
628.80

775.02
686.38

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

482.06
477.22

111.28

630.31
605.74

99.91

828.84
817.52

145.01

771.03
868.72

58.34

597.77
591.70

103.20

635.18
590.78

127.63

718.71
675.17

138.60

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

103.96
196.06

110.15
210.38

119.86
240.02

132.33
273.92

131.00
260.28

116.21
253.93

128.97
272.58

B. Capital Account........................................... 20999F B AA

....

14.24

11.74

5.41

14.23

8.58

7.97

14.69

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

30.30
16.06

29.81
18.07

35.02
29.61

35.83
21.60

27.92
19.34

27.91
19.94

35.52
20.84

C. Financial Account......................................... 30999F N AA

....

71.35

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

453.55
382.73
70.83

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

194.10
154.16
39.95

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

65.42

106.44

33.42

29.32

11.41

75.76

20.32

39.34

47.39

97.13

19.82

83.23

95.06

30.27

185.70

17.50

27.85

1.85

173.81

70.49

1.07

61.14

542.69
435.50
107.19

706.04
538.05
167.99

501.53
287.48
214.05

468.37
360.11
108.26

361.66
204.46
157.20

479.44
420.21
59.23

328.56
287.00
41.56

581.87
433.62
148.25

157.67
90.41
67.26

326.55
331.50
4.96

213.89
268.64
54.75

274.08
293.50
19.42

514.64
165.99
348.66

650.47
193.24
457.23

601.34
86.86
514.48

46.56
129.31
175.88

131.23
81.53
49.70

192.34
104.54
87.79

66.32
97.30
30.97

....
....
....

660.22
291.94
368.28

889.12
309.73
579.39

770.03
223.63
546.40

415.90
149.93
565.83

500.14
184.51
315.63

406.57
190.64
215.94

362.99
164.17
198.82

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

21.59
....
21.59

.22
....
.22

92.90
....
92.90

121.32
....
121.32

26.24
....
26.24

24.52
....
24.52

29.61
....
29.61

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

737.66
....
737.66

998.55
....
998.55

1,236.85
....
1,236.85

44.40
....
44.40

727.08
....
727.08

239.28
....
239.28

233.97
....
233.97

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

801.78
....
801.78

37.93

945.97
....
945.97

16.44

1,283.38
....
1,283.38

28.42

314.06
....
314.06

11.89

909.92
....
909.92

147.22
....
147.22

21.52
....
21.52

D. Net Errors and Omissions............................. 40999S N AA

....

15.02

19.00

22.73

16.75

6.81

3.35

16.72

E. Reserves and Related Items.......................... 4Z999S N AA

....

22.91

2.57

5.69

4.86

59.80

.16

34.75

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

22.91
....
....

2.57
....
....

5.69
....
....

4.86
....
....

59.80
....
....

13.90
13.74
....

13.88
48.64
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

52.99

2.12

6.42

3.19

9.67

51.47

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
312
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Euro Area

163
Table 2. STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
19.18
.33
24.86 199.94
26.08
10.09
GOODS AND SERVICES..................................... 1Z9999 B XN
....
106.44
75.33
133.69
39.34
97.13
83.23
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 2,026.63 2,308.96 2,757.94 3,079.53 2,484.84 2,765.39


. . . . 1,920.19 2,233.63 2,624.25 3,040.19 2,387.71 2,682.15
....
65.42
29.32
75.76
20.32
47.39
19.82
. . . . 1,529.17 1,760.24 2,086.30 2,328.92 1,817.46 2,073.17
. . . . 1,529.17 1,760.24 2,086.30 2,328.92 1,817.46 2,073.17
....
....
....
....
....
....
....
....
....
....
....
....
....
....
. . . . 1,463.75 1,730.92 2,010.54 2,349.24 1,770.06 2,053.35
. . . . 1,463.75 1,730.92 2,010.54 2,349.24 1,770.06 2,053.35
....
....
....
....
....
....
....
....
41.02
46.01
57.93
59.66
49.73
63.42
....
497.46
548.72
671.64
750.61
667.38
692.22
....
456.44
502.70
613.71
690.95
617.65
628.80
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4.83
482.06
477.22
20.16
11.65
461.90
203.28
183.51
132.32
51.20
19.76

24.57
630.31
605.74
21.07
12.38
609.24
260.56
234.78
182.69
52.09
25.78

11.33
828.84
817.52
24.87
15.49
803.97
332.56
293.46
195.18
98.28
39.10

97.69
771.03
868.72
29.78
19.28
741.25
253.60
207.70
218.23
10.53
45.90

6.07
597.77
591.70
30.86
16.80
566.91
253.67
218.91
190.33
28.58
34.76

44.40
635.18
590.78
32.08
15.78
603.10
323.86
292.26
236.45
55.81
31.60

2011
5.02
95.06
3,241.60
3,146.54
6.42
2,466.57
2,466.57
....
....
2,460.16
2,460.16
....
88.64
775.02
686.38
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
43.54
718.71
675.17
34.79
17.20
683.92
372.02
336.84
247.38
89.46
35.18

_______________________________________________________________________________________________________________________________
313
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Euro Area

163
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

140.91
39.14
....
....
101.78
117.70
....
117.70
....
....
....
....
465.57
152.53
131.77
146.70
14.93
20.76
186.95
85.90
....
....
101.04
126.09
....
126.09
....
....
....

178.61
49.10
....
....
129.51
170.07
....
170.07
....
....
....
....
593.36
168.00
142.66
96.18
46.48
25.34
236.70
121.02
....
....
115.67
188.66
....
188.66
....
....
....

224.17
61.87
....
....
162.30
247.24
....
247.24
....
....
....
....
802.03
223.19
186.48
128.04
58.44
36.71
308.30
155.16
....
....
153.14
270.54
....
270.54
....
....
....

233.42
58.36
....
....
175.06
254.23
....
254.23
....
....
....
....
849.44
209.47
170.31
141.82
28.49
39.17
355.95
166.63
....
....
189.32
284.01
....
284.01
....
....
....

174.40
34.12
....
....
140.28
138.84
....
138.84
....
....
....
....
574.90
174.82
140.55
119.54
21.02
34.27
275.94
107.32
....
....
168.62
124.14
....
124.14
....
....
....

173.30
37.86
....
....
135.44
105.94
....
105.94
....
....
....
....
575.00
210.81
181.50
138.56
42.94
29.31
277.94
113.46
....
....
164.49
86.25
....
86.25
....
....
....

192.76
50.02
....
....
142.75
119.14
....
119.14
....
....
....
....
657.96
244.87
212.54
142.87
69.67
32.32
319.43
135.45
....
....
183.98
93.66
....
93.66
....
....
....

....
....
....
....
....
....
....
....
....
....
....

92.09
103.96
58.46
45.51
6.20
39.31
196.06
136.06
60.00
18.02
41.99

100.23
110.15
63.29
46.86
6.72
40.14
210.38
141.37
69.01
21.82
47.18

120.15
119.86
68.71
51.16
8.64
42.51
240.02
159.04
80.98
28.22
52.76

141.59
132.33
70.79
61.53
9.87
51.66
273.92
175.81
98.11
31.51
66.60

129.28
131.00
69.43
61.57
8.89
52.69
260.28
164.46
95.82
31.29
64.53

137.72
116.21
55.08
61.14
8.35
52.79
253.93
162.24
91.70
29.46
62.24

143.62
128.97
63.82
65.15
9.02
56.13
272.58
175.45
97.14
32.83
64.31

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

14.24
....
....
....
....
....
....
....
....
....
....
....
....

11.74
....
....
....
....
....
....
....
....
....
....
....
....

5.41
....
....
....
....
....
....
....
....
....
....
....
....

14.23
....
....
....
....
....
....
....
....
....
....
....
....

8.58
....
....
....
....
....
....
....
....
....
....
....
....

7.97
....
....
....
....
....
....
....
....
....
....
....
....

14.69
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

48.43

30.42

7.54

168.95

10.70

1.24

26.39

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

259.45
453.55
382.73
331.53
331.53
....
....
51.20
70.83
70.83
....
....

214.13
542.69
435.50
383.41
383.41
....
....
52.09
107.19
107.19
....
....

124.17
706.04
538.05
439.77
439.77
....
....
98.28
167.99
167.99
....
....

343.86
501.53
287.48
298.01
298.01
....
....
10.53
214.05
214.05
....
....

141.82
468.37
360.11
331.53
331.53
....
....
28.58
108.26
108.26
....
....

147.77
361.66
204.46
148.65
148.65
....
....
55.81
157.20
157.20
....
....

205.36
479.44
420.21
330.75
330.75
....
....
89.46
59.23
59.23
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
314
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Euro Area

163
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

194.10
154.16
169.09
169.09
....
....
14.93
39.95
39.95
....
....

328.56
287.00
240.52
240.52
....
....
46.48
41.56
41.56
....
....

581.87
433.62
375.18
375.18
....
....
58.44
148.25
148.25
....
....

157.67
90.41
61.92
61.92
....
....
28.49
67.26
67.26
....
....

326.55
331.50
310.49
310.49
....
....
21.02
4.96
4.96
....
....

213.89
268.64
225.70
225.70
....
....
42.94
54.75
54.75
....
....

274.08
293.50
223.84
223.84
....
....
69.67
19.42
19.42
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

145.58
514.64
165.99
.17
18.15
4.29
143.37
....
348.66
.76
164.34
1.52
182.03
....
660.22
291.94
....
....
....
....
....
368.28
....
....
....
....
....

238.65
650.47
193.24
.05
25.56
9.94
157.69
....
457.23
14.58
273.03
3.28
166.33
....
889.12
309.73
....
121.24
....
188.49
....
579.39
....
274.98
110.10
194.31
....

168.69
601.34
86.86
.02
37.05
11.43
38.40
....
514.48
42.66
247.84
4.44
219.54
....
770.03
223.63
....
39.61
....
184.02
....
546.40
....
284.17
196.93
65.29
....

369.34
46.56
129.31
.94
51.85
.08
78.48
....
175.88
29.02
114.12
4.74
27.99
....
415.90
149.93
....
115.65
....
265.57
....
565.83
....
39.83
505.50
100.15
....

368.91
131.23
81.53
.03
1.06
3.55
79.07
....
49.70
22.99
109.72
23.88
158.53
....
500.14
184.51
....
14.68
....
169.83
....
315.63
....
41.10
334.46
22.27
....

214.24
192.34
104.54
.23
8.07
2.26
94.45
....
87.79
17.32
225.33
67.46
262.99
....
406.57
190.64
....
22.88
....
213.51
....
215.94
....
105.75
210.43
100.24
....

429.31
66.32
97.30
.82
25.29
10.21
60.97
....
30.97
15.27
52.98
3.82
72.50
....
362.99
164.17
....
27.19
....
136.97
....
198.82
....
111.34
97.74
10.25
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

21.59
....
21.59

.22
....
.22

92.90
....
92.90

121.32
....
121.32

26.24
....
26.24

24.52
....
24.52

29.61
....
29.61

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

64.12
737.66
....
737.66
.69
502.34
9.57
244.19
....
801.78
....
....
801.78
8.65
605.31
2.54
190.36
....

52.59
998.55
....
998.55
11.05
688.90
8.63
329.34
....
945.97
....
....
945.97
25.85
631.14
2.56
286.41
....

46.53
1,236.85
....
1,236.85
30.03
724.02
10.62
493.41
....
1,283.38
....
.04
1,283.34
126.76
827.68
1.87
330.77
....

269.66
44.40
....
44.40
13.30
23.83
8.53
90.05
....
314.06
....
.05
314.01
404.02
191.74
12.52
89.21
....

182.84
727.08
....
727.08
.16
563.87
16.78
180.15
....
909.92
....
65.82
975.74
317.09
488.62
21.27
191.30
....

78.32
239.28
....
239.28
3.97
13.66
55.43
174.15
....
160.95
....
....
160.95
12.20
9.11
87.97
69.90
....

206.85
233.97
....
233.97
3.20
82.42
.89
153.87
....
27.12
....
.10
27.03
184.09
386.45
101.58
127.80
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

22.91
4.81
.21
11.24
7.07

2.57
5.28
.70
6.02
13.17

5.69
4.42
.47
1.92
11.57

4.86
3.87
.14
4.97
3.91

59.80
2.74
66.34
4.58
8.39

13.90
.01
.15
5.95
7.80

13.88
.08
2.07
18.17
2.30

NET ERRORS AND OMISSIONS.........................

....

15.02

19.00

22.73

16.75

6.81

3.35

16.72

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
315
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Euro Area

163
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 13,048.27 16,653.13 21,200.29 19,544.75 20,622.44 22,066.58 23,479.55
Direct investment............................................. 8A9999 A AA
. . . . 3,322.06 4,204.58 5,548.03 5,419.41 6,174.96 6,410.29 6,884.80
Equity and investment fund shares................. 8AA000 A AA
. . . . 2,701.33 3,432.34 4,432.42 4,184.81 4,762.12 4,899.93 5,369.59
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
620.74
....
....
....
4,567.32
2,035.48
3.49
117.34
32.01
1,882.64
....
2,531.83
8.99
1,128.33
14.23
1,380.27
....
226.93
4,554.41
....
4,554.41
5.90
2,975.20
152.96
1,420.35
....
377.55
192.82
5.11
12.46
167.17

....
....
....
772.24
....
....
....
5,730.56
2,549.21
3.70
161.28
48.77
2,335.46
....
3,181.35
24.13
1,512.61
18.65
1,625.96
....
286.00
6,002.82
....
6,002.82
13.70
3,905.16
158.19
1,925.76
....
429.18
232.17
6.08
6.89
184.04

....
....
....
1,115.61
....
....
....
6,802.35
2,888.89
4.12
199.90
65.63
2,619.24
....
3,913.46
69.92
1,810.43
26.02
2,007.10
....
515.09
7,823.66
....
7,823.66
49.20
4,929.16
140.22
2,705.08
....
511.16
295.86
6.87
5.24
203.19

....
....
....
1,234.60
....
....
....
5,338.56
1,596.40
4.30
92.84
37.77
1,461.49
....
3,742.16
111.38
1,753.38
27.55
1,849.84
....
888.57
7,377.43
....
7,377.43
38.89
4,570.63
144.20
2,623.70
....
520.78
302.06
6.56
10.18
201.97

....
....
....
1,412.84
....
....
....
6,253.04
2,181.50
4.92
111.58
52.71
2,012.30
....
4,071.54
89.15
1,718.55
55.50
2,208.34
....
792.42
6,735.96
....
6,735.96
42.76
4,085.62
175.64
2,431.94
....
666.06
383.29
73.22
15.19
194.37

....
....
....
1,510.36
....
....
....
6,556.82
2,557.56
4.78
120.51
63.65
2,368.63
....
3,999.26
76.44
1,427.65
101.30
2,393.88
....
1,627.05
6,682.83
....
6,682.83
42.90
3,973.13
221.86
2,444.94
....
789.59
489.30
72.08
21.04
207.17

....
....
....
1,515.22
....
....
....
6,147.28
2,205.87
4.04
87.06
50.95
2,063.83
....
3,941.41
95.04
1,235.77
122.43
2,488.17
....
2,832.52
6,752.12
....
6,752.12
45.89
3,968.57
210.71
2,526.95
....
862.83
546.11
69.85
38.72
208.15

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

13,877.71
2,878.70
2,156.96
....
....
....
721.74
....
....
....
5,986.67
2,825.80
....
644.52
....
2,181.28
....
3,160.87
....
1,121.90
1,304.67
734.30
....

17,948.50
3,588.58
2,748.46
....
....
....
840.12
....
....
....
7,853.93
3,997.12
....
745.91
....
3,251.21
....
3,856.81
....
1,441.77
1,408.55
1,006.50
....

22,997.37
4,731.36
3,508.82
....
....
....
1,222.55
....
....
....
9,644.41
4,860.92
....
842.37
....
4,018.55
....
4,783.49
....
1,887.50
1,755.59
1,140.40
....

21,700.40
4,500.17
3,212.54
....
....
....
1,287.63
....
....
....
8,334.93
3,062.86
....
851.01
....
2,211.85
....
5,272.07
....
1,731.16
2,348.91
1,192.01
....

22,705.64
4,893.27
3,596.50
....
....
....
1,296.77
....
....
....
9,776.75
4,008.32
....
988.53
....
3,019.78
....
5,768.43
....
1,670.71
2,728.69
1,369.03
....

23,763.35
4,955.47
3,761.13
....
....
....
1,194.34
....
....
....
9,949.58
4,210.64
....
879.21
....
3,331.42
....
5,738.94
....
1,660.69
2,720.14
1,358.11
....

24,956.34
5,208.89
4,076.64
....
....
....
1,132.24
....
....
....
9,923.18
3,969.27
....
724.00
....
3,245.27
....
5,953.91
....
1,761.30
2,734.86
1,457.75
....

_______________________________________________________________________________________________________________________________
316
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Euro Area

163
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
252.16
313.44
557.53
889.55
792.12 1,708.57 2,857.29
. . . . 4,760.19 6,192.55 8,064.07 7,975.75 7,243.51 7,149.73 6,966.98
....
....
....
....
....
....
....
....
....
6.99
7.36
7.77
7.62
73.80
72.50
72.37
. . . . 4,753.20 6,185.20 8,056.30 7,968.13 7,169.70 7,077.22 6,894.61
....
97.70
153.41
297.48
671.78
362.54
359.04
528.96
. . . . 3,651.76 4,577.72 5,762.86 5,227.45 4,888.49 4,681.61 4,150.79
....
54.81
65.75
75.07
94.58
122.04
204.81
289.19
....
948.93 1,388.33 1,920.89 1,974.31 1,796.63 1,831.76 1,925.67
....
....
....
....
....
....
....
....
....
....

829.44 1,295.37 1,797.08 2,155.65 2,083.20 1,696.77 1,476.79


.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
317
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Faroe Islands

816
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
31.2
21.2
80.6
30.6
15.9
135.4

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

101.0

120.2

282.2

180.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

150.9
18.7

163.1
21.7

228.2
26.6

B. Capital Account........................................... 20999F B AA

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

31.2

....
....

21.2

80.6

30.6

C. Financial Account......................................... 30999F N AA

....

....

....

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

....
....
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

603.3
678.9

650.5
751.4

745.2
970.7

2009

852.4
942.0

764.4
750.5

825.6
743.9

....
....
....

170.0
342.6

190.7
366.1

....
....
....

75.6

100.9

225.6

89.6

132.5
229.8

174.5
274.1

214.4
359.2

251.9
381.9

13.9

81.7

172.9

200.5

370.3

219.6

158.8

93.7

145.8
73.8

179.9
99.6

223.8
135.6

232.0
192.5

159.0
158.9

158.7

209.5
126.5

10.7

....
....
....

178.5
29.0

170.3
27.5

180.4
34.4

....
....

....

....

....

....

....

....
....

....
....

....
....

15.9

....
....

135.4

....
....
....

....

....

....

....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

....
....
....

31.2

....
....
....

21.2

....
....
....

80.6

....
....
....

30.6

....
....
....

15.9

....
....
....

135.4

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

....

....

....

....

....

....

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

....

....

....

....

....

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Conversion rates: Danish kroner per U.S.


dollar............................................................. RFZ F B

....

5.9969

5.9468

5.4437

5.0981

5.3609

5.6241

5.3687

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
318
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Faroe Islands

816
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
31.2
21.2
80.6
30.6
15.9
135.4
GOODS AND SERVICES..................................... 1Z9999 B XN
....
172.9
200.5
370.3
219.6
158.8
93.7
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

735.8
908.7
75.6
603.3
603.3
....
....
678.9
678.9
....
97.3
132.5
229.8
....
....
....
....
47.3
....
....

825.1
1,025.5
100.9
650.5
650.5
....
....
751.4
751.4
....
99.6
174.5
274.1
....
....
....
....
83.1
....
....

959.6
1,329.9
225.6
745.2
745.2
....
....
970.7
970.7
....
144.8
214.4
359.2
....
....
....
....
114.0
....
....

1,104.3
1,323.9
89.6
852.4
852.4
....
....
942.0
942.0
....
130.0
251.9
381.9
....
....
....
....
149.8
....
....

934.4
1,093.1
13.9
764.4
764.4
....
....
750.5
750.5
....
172.7
170.0
342.6
....
....
....
....
74.6
....
....

1,016.3
1,110.0
81.7
825.6
825.6
....
....
743.9
743.9
....
175.4
190.7
366.1
....
....
....
....
86.8
....
....

42.4
....
....

59.4
....
....

116.5
....
....

91.9
....
....

72.7
....
....

80.1
....
....

34.2
7.7
26.5
88.8
40.8
48.0
51.0
3.5
....
.4
.2
3.7
36.1
7.0
....
98.6
24.4
5.2
.2
3.1
10.5
28.0
27.3
....

42.9
9.6
33.3
98.5
45.5
53.0
48.5
6.0
....
.9
.3
3.4
30.4
7.5
....
116.2
41.4
5.2
.4
3.7
11.0
27.2
27.4
....

60.7
12.7
48.0
108.3
50.4
57.9
39.7
8.3
....
1.1
1.0
3.3
21.2
4.9
....
134.5
52.3
3.0
.7
8.7
19.8
25.5
24.5
....

63.3
13.1
50.2
116.7
54.5
62.2
38.8
2.1
....
1.3
.1
5.4
24.5
5.5
....
173.3
43.3
4.6
.8
9.6
22.6
51.2
41.1
....

42.0
13.0
29.0
84.5
40.6
43.9
53.3
9.6
....
1.3
1.4
6.5
25.8
8.7
....
185.4
57.9
5.0
.9
9.0
26.2
50.6
35.9
....

41.8
13.6
28.2
72.5
34.8
37.7
62.1
7.1
....
1.4
1.2
8.3
35.5
8.6
....
213.5
47.0
4.6
.9
7.7
39.2
79.1
35.1
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

72.0
145.8
73.8
80.3
18.3
65.5
4.7
4.7
....
4.7
....

80.3
179.9
99.6
89.1
23.4
90.9
19.6
19.6
.1
19.5
....

88.2
223.8
135.6
109.2
33.4
114.6
7.3
7.3
.4
6.8
....

39.5
232.0
192.5
136.6
41.0
95.5
53.5
53.5
.2
53.7
....

....
159.0
158.9
138.7
31.4
20.2
39.0
39.0
.2
39.2
....

83.0
209.5
126.5
146.4
31.0
63.1
.3
.3
....
.3
....

....
....
....
....
....
....
....
....
....
....
....

5.0

2.7

5.1

3.3

8.7

4.9

21.9

7.9

5.7

4.5

5.4

7.0

_______________________________________________________________________________________________________________________________
319
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Faroe Islands

816
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

48.3
2.5
....
....
45.8
12.5
....
12.5
....
....
....
....
55.5
8.5
8.5
5.8
2.7
....
....
....
....
....
....
47.0
....
47.0
....
....
....

49.0
7.2
....
....
41.8
22.3
....
22.3
....
....
....
....
76.2
17.6
17.6
3.7
13.9
....
....
....
....
....
....
58.6
....
58.6
....
....
....

57.6
16.9
....
....
40.6
49.8
....
49.8
....
....
....
....
102.2
11.8
11.8
6.0
5.8
....
....
....
....
....
....
90.4
....
90.4
....
....
....

84.3
27.0
....
....
57.3
64.6
....
64.6
....
....
....
....
151.5
9.4
9.4
8.6
.8
....
....
....
....
....
....
142.0
....
142.0
....
....
....

40.8
4.1
....
....
36.6
18.5
....
18.5
....
....
....
....
127.6
4.3
4.3
1.8
2.6
....
....
....
....
....
....
123.2
....
123.2
....
....
....

50.8
5.6
....
....
45.2
12.7
....
12.7
....
....
....
....
95.5
13.2
13.2
1.3
14.4
....
....
....
....
....
....
108.7
....
108.7
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

132.1
150.9
132.4
18.5
....
....
18.7
1.9
16.9
....
....

141.4
163.1
132.1
31.0
....
....
21.7
2.0
19.7
....
....

201.6
228.2
143.7
84.5
....
....
26.6
2.6
24.0
....
....

149.5
178.5
155.0
23.5
....
....
29.0
2.9
26.1
....
....

142.8
170.3
149.0
21.3
....
....
27.5
3.0
24.5
....
....

146.1
180.4
143.3
37.2
....
....
34.4
2.6
31.7
....
....

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

....

....

....

....

....

....

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
320
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Faroe Islands

816
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

....

....

....

....

....

....

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
321
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Fiji

819
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis

A. Current Account..........................................

10999F B XN

....

257.5

544.1

436.2

647.3

224.8

360.3

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

588.2
1,365.3

569.3
1,555.6

634.9
1,575.6

940.6

801.5
1,983.6

1,182.2

565.6
1,245.9

770.6
1,543.2

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

930.6
529.8

883.7
536.7

929.3
521.9

1,039.6
611.2

753.7

748.2
464.3

396.5

905.9
512.9

379.6

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

438.0

749.4

626.8

72.3
157.9

839.3

61.2
73.3

408.6

78.8
179.9

480.8

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

269.9
89.3

303.3
97.9

252.3
61.7

265.2
73.2

232.9
49.1

173.2
52.7

....
....

B. Capital Account........................................... 20999F B AA

....

32.0

20.7

34.9

47.0

41.1

39.0

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

32.0
....

225.4

20.7
....

523.4

34.9
....

401.3

47.0
....

600.3

41.1
....

183.7

39.0
....

321.3

....
....
....

C. Financial Account......................................... 30999F N AA

....

220.7

509.9

556.4

270.9

443.7

265.6

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

10.3
10.3
....

.6
.6
....

6.4
6.4
....

8.8
8.8
....

3.0
3.0
....

5.8
5.8
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

159.6
159.6
....

370.2
370.2
....

377.0
377.0
....

350.3
350.3
....

134.7
134.7
....

196.2
196.2
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

.1
.1
....

.1
.1
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1.7
1.7
....

145.5
1.6
147.1

4.8
4.8
....

1.4
1.4
....

1.1
1.1
....

.1
.1
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

5.7
....
5.7

84.1
....
84.1

90.8
....
90.8

172.1
....
172.1

1.1
....
1.1

38.7
....
38.7

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

63.9
....
63.9

4.8

79.0
....
79.0

13.4

77.3
....
77.3

82.5
....
82.5

312.0
....
312.0

260.0

36.5
....
36.5

55.7

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

100.1

152.3

37.5

162.1

71.6

193.9

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

104.8

165.8

192.6

167.2

188.4

138.3

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

104.8
....
....

165.8
....
....

192.6
....
....

167.2
....
....

188.4
....
....

138.3
....
....

....
....
....

Conversion rates: Fiji dollars per U.S.


dollar............................................................. RFZ F B

....

1.6910

1.7312

1.6103

1.5937

1.9557

1.9183

1.7932

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

777.1

986.3

376.3

639.3

533.2

81.8
143.6

66.0
176.2

67.1
160.7

155.1

329.4

680.4

772.6

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
322
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Fiji

819
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

Data reported to the IMF on a BPM6 basis


CURRENT ACCOUNT.......................................... 109999 B XN
....
257.5
544.1
436.2
GOODS AND SERVICES..................................... 1Z9999 B XN
....
376.3
639.3
533.2
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2008

2009

2010

2011

224.8
396.5
1,313.7
1,710.3
680.4
565.6
545.0
.6
21.1
1,245.9
1,245.9
....
283.9
748.2
464.3
34.6
....
7.6
16.1
236.6

360.3
379.6
1,676.5
2,056.1
772.6
770.6
724.0
.4
47.0
1,543.2
1,543.2
....
392.9
905.9
512.9
40.3
....
6.2
4.0
245.3

13.7
184.8
68.2

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,518.8
1,895.1
777.1
588.2
561.5
8.4
35.1
1,365.3
1,365.2
.1
400.8
930.6
529.8
54.3
....
26.4
22.3
292.8

1,453.0
2,092.3
986.3
569.3
566.0
21.6
24.9
1,555.6
1,555.5
.1
347.0
883.7
536.7
44.1
....
26.4
27.8
250.3

1,564.2
2,097.4
940.6
634.9
645.1
11.8
1.6
1,575.6
1,575.6
....
407.4
929.3
521.9
46.1
....
31.7
15.0
292.0

647.3
753.7
1,841.1
2,594.8
1,182.2
801.5
786.0
.5
15.9
1,983.6
1,983.6
....
428.4
1,039.6
611.2
47.8
....
17.3
17.7
369.6

281.5

287.4

293.1

353.9

228.0

266.8

485.3
27.8
457.6
106.0
6.3
99.7
71.8
....
.5
1.5
.1
29.3
20.9
.6
19.0
120.1
.1
29.6
.9
1.2
30.2
52.6
2.4
3.1

480.2
31.5
448.7
101.4
6.5
94.9
82.7
....
.6
1.5
.2
22.8
23.0
.8
33.7
120.1
.3
29.8
.9
1.0
23.2
53.4
4.4
7.0

498.8
27.7
471.1
92.4
6.0
86.4
60.7
....
.6
.9
.1
20.7
12.9
.6
25.0
121.4
.6
30.9
.1
1.6
25.4
55.7
2.3
4.9

546.9
33.8
513.1
95.8
5.5
90.3
58.0
....
.6
.4
.2
25.8
12.0
.6
18.4
143.8
.3
35.3
.6
2.4
29.9
67.7
3.1
4.5

422.0
28.6
393.4
94.5
4.9
89.6
47.5
....
.5
.4
.7
13.0
12.7
.6
19.5
125.8
.1
25.6
.7
1.3
45.5
47.5
.8
4.2

522.6
33.3
489.3
87.6
3.7
84.0
91.4
....
....
.5
.5
10.3
19.5
1.2
59.3
154.5
....
29.7
.7
.9
81.2
34.6
2.1
5.4

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

61.7
81.8
143.6
49.0
3.3
32.9
5.8
5.8
....
5.8
....

110.2
66.0
176.2
38.9
5.2
27.2
2.2
1.0
.5
.6
1.2

93.6
67.1
160.7
45.3
5.3
21.8
1.2
1.2
1.2
....
....

85.5
72.3
157.9
50.0
8.2
22.4
1.2
1.2
1.2
....
....

12.0
61.2
73.3
48.2
4.4
13.0
3.0
3.0
.5
2.5
....

101.1
78.8
179.9
62.0
5.4
16.8
5.7
5.6
.7
4.9
.1

....
....
....
....
....
....
....
....
....
....
....

236.9
26.0
29.8
18.9
155.7
106.9

203.5
21.6
25.2
11.5
184.8
91.0

225.7
20.6
45.7
14.2
185.0
93.9

293.6
25.4
50.6

14.9
233.5
105.5

184.6
16.5
35.6
13.3
151.0
63.8

189.7
22.4
33.2

_______________________________________________________________________________________________________________________________
323
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Fiji

819
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

9.8
8.2
8.2
....
1.6
17.3
....
17.3
....
....
....
....
140.3
132.8
121.3
30.2
91.2
11.4
.9
.9
.9
....
....
6.7
....
6.7
....
....
....

15.0
10.8
10.8
....
4.2
10.0
....
10.0
....
....
....
....
171.0
163.1
159.1
47.6
111.5
4.0
.9
.9
.9
....
....
7.0
....
7.0
....
....
....

7.5
.1
.1
....
7.4
13.1
....
13.1
....
....
....
....
155.4
127.1
126.7
34.5
92.2
.4
10.5
.1
.1
....
10.5
17.8
....
17.8
....
....
....

7.7
2.9
2.9
....
4.8
13.5
....
13.5
....
....
....
....
149.6
122.3
122.3
39.0
83.3
....
10.5
....
....
....
10.5
16.8
....
16.8
....
....
....

3.2
2.1
2.1
....
1.1
6.7
....
6.7
....
.1
....
.1
68.9
48.0
48.0
9.1
38.9
....
9.5
.1
.1
....
9.5
11.3
....
11.3
....
....
....

1.0
.2
.2
....
.8
9.4
....
9.4
....
.6
....
.6
174.5
143.4
143.4
21.1
122.3
....
10.5
.2
.2
....
10.3
20.7
....
20.7
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

180.6
269.9
2.6
267.3
154.7
112.6
89.3
1.7
87.7
4.6
83.1

205.4
303.3
3.7
299.6
165.7
133.8
97.9
1.6
96.3
4.6
91.7

190.7
252.3
2.2
250.1
138.0
112.2
61.7
1.6
60.1
3.9
56.3

192.0
265.2
7.9
257.2
96.7
160.5
73.2
1.6
71.6
4.7
66.9

183.8
232.9
2.2
230.7
123.0
107.6
49.1
1.7
47.4
2.8
44.6

120.5
173.2
4.6
168.7
111.7
56.9
52.7
1.9
50.8
4.3
46.6

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

32.0
....
....
32.0
27.3
....
27.3
4.8
....
....
....
....
....

20.7
....
....
20.7
17.4
....
17.4
3.2
....
....
....
....
....

34.9
....
....
34.9
30.1
....
30.1
4.8
....
....
....
....
....

47.0
....
....
47.0
39.1
....
39.1
7.8
....
....
....
....
....

41.1
....
....
41.1
36.9
....
36.9
4.1
....
....
....
....
....

39.0
....
....
39.0
32.1
....
32.1
6.9
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

325.5

675.7

363.8

438.2

255.3

127.3

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

149.3
10.3
10.3
4.5
4.5
....
....
5.8
....
....
....
....

369.7
.6
.6
....
....
....
....
.6
....
....
....
....

383.4
6.4
6.4
6.4
6.4
....
....
....
....
....
....
....

359.1
8.8
8.8
8.8
8.8
....
....
....
....
....
....
....

131.7
3.0
3.0
.5
.5
....
....
2.5
....
....
....
....

190.4
5.8
5.8
.9
.9
....
....
4.9
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
324
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Fiji

819
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

159.6
159.6
68.5
68.5
....
....
91.2
....
....
....
....

370.2
370.2
258.7
258.7
....
....
111.5
....
....
....
....

377.0
377.0
284.8
284.8
....
....
92.2
....
....
....
....

350.3
350.3
267.0
267.0
....
....
83.3
....
....
....
....

134.7
134.7
95.8
95.8
....
....
38.9
....
....
....
....

196.2
196.2
73.8
73.8
....
....
122.3
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1.7
....
....
....
....
....
....
....
....
....
....
....
....
....
1.7
1.7
....
....
....
1.7

145.4
.1
.1
....
.1
....
....
....
....
....
....
....
....
....
145.5
1.6
....
....
....
1.6

4.9
.1
.1
....
.1
....
....
....
....
....
....
....
....
....
4.8
4.8
....
....
....
4.8

1.4
....
....
....
....
....
....
....
....
....
....
....
....
....
1.4
1.4
....
....
....
1.4

147.1
....
....
147.1
....
....

....
....
....
....
....
....

....
....
....
....
....
....

1.1

.1
....
....
....
....
....
....
....
....
....
....
....
....
....
.1
.1
....
....
....
.1

....
....
....
....
....
....

1.4

1.1
....
....
....
....
....
....
....
....
....
....
....
....
....
1.1
1.1
....
....
....
1.1

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....

....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

69.7
5.7
....
5.7
....
22.3
.3
28.4

5.1
84.1
....
84.1
....
46.5
150.1
19.5

168.1
90.8
....
90.8
....
4.0
116.5
21.7

89.6
172.1
....
172.1
....
69.9
63.1
39.1

313.1
1.1
....
1.1
....
39.1
33.2
7.0

75.2
38.7
....
38.7
....
47.6
3.2
5.6

79.0
....
....
79.0
1.1
17.5
4.8
92.8

77.3
....
....
77.3
4.3
3.0
.7
69.2

82.5
....
....
82.5
2.5
34.9
2.1
52.2

312.0
....
94.0
218.1
2.8
49.1
2.1
169.7

36.5
....
....
36.5
1.0
56.3
11.0
102.8

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

1.7

1.6

4.8

.1

169.7

102.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

104.8
....
.4
.1
105.3

165.8
....
.5
.3
166.5

192.6
....
.7
.3
191.6

167.2
....
.7
.2
168.2

188.4
....
94.1
.3
94.0

138.3
....
24.5
.4
162.4

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

100.1

152.3

37.5

162.1

71.6

193.9

....

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

28.4

63.9
....
....
63.9
....
74.6
2.4
8.2

8.2

19.5

92.8

21.7

69.2

39.1

52.2

7.0

5.6

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
325
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Fiji

819
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

Data reported to the IMF on a BPM6 basis


ASSETS.............................................................. 80999S A AA
....
845.8
803.9
Direct investment............................................. 8A9999 A AA
....
68.4
48.1
Equity and investment fund shares................. 8AA000 A AA
....
68.4
48.1
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2007

2008

2009

2010

2011

860.0
34.1
34.1
34.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
459.6
....
459.6
....
179.2
94.2
186.2

1,024.5
36.3
36.3
36.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
400.3
....
400.3
....
205.1
55.9
139.3

1,171.6
44.1
44.1
44.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
386.0
....
386.0
....
169.4
64.1
152.5

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
78.4
25.2
....

68.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
257.0
....
257.0
....
157.5
1.5
97.9

48.1
....
....
....
....
....
....
.1
.1
....
.1
....
....
....
....
....
....
....
....
....
....
385.8
....
385.8
....
116.3
152.1
117.4

930.7
44.9
44.9
44.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
297.4
....
297.4
....
128.6
34.6
134.2

520.4
.4
8.0
21.9
490.2

369.9
.5
8.9
23.3
337.1

588.4
.7
10.1
24.8
552.8

366.3
.7
10.6
24.4
330.6

587.9
.9
105.1
25.1
456.8

741.5
1.2
78.7
25.0
636.7

1,497.7
1,067.8
1,067.8
1,067.8
....
....
....
....
....
....
2.9
2.9
....
....
....
2.9

2,087.9
1,474.6
1,474.6
1,474.6
....
....
....
....
....
....
156.3
3.1
....
....
....
3.1

2,703.4
1,947.8
1,947.8
1,947.8
....
....
....
....
....
....
170.1
5.7
....
....
....
5.7

2,770.0
2,003.5
2,003.5
2,003.5
....
....
....
....
....
....
147.2
2.6
....
....
....
2.6

3,126.8
2,042.2
2,042.2
2,042.2
....
....
....
....
....
....
132.9
.7
....
....
....
.7

3,382.3
2,356.0
2,356.0
2,356.0
....
....
....
....
....
....
141.0
.9
....
....
....
.9

....
....
....
....
....
....

153.2
....
....
153.2
....
....

164.4
....
....
164.4
....
....

144.6
....
....
144.6
....
....

132.2
....
....
132.2
....
....

140.1
....
....
140.1
....
....

97.9

2.9

117.4

3.1

134.2

5.7

186.2

2.6

139.3

.7

152.5

.9

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
326
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Fiji

819
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Fiji dollars per U.S.


dollar............................................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
427.0
....
9.9
417.0
1.8
107.1
94.0
214.2

....
456.9
....
10.5
446.5
.8
93.7
99.9
252.1

....
585.6
....
11.0
574.6
5.4
103.3
104.8
361.0

....
619.4
....
10.7
608.7
2.3
126.4
111.5
368.6

....
951.7
....
105.2
846.5
1.0
166.4
123.4
557.8

....
885.2
....
103.3
781.9
....
117.6
151.4
512.9

512.9

....
....
....
....
....
....
....
....
....
....

....

651.9 1,284.0 1,772.7 1,910.0 2,102.3 2,210.6

....

....

1.7449

214.2

252.1

1.6642

361.0

1.5511

368.6

1.7640

557.8

1.9286

1.8195

1.8205

_______________________________________________________________________________________________________________________________
327
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Finland

172
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis

A. Current Account..........................................

10999F B XN

....

7,788

11,563

13,292

8,974

6,680

5,948

1,989

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

70,075
55,295

81,823
64,494

98,194
75,812

104,809
85,591

19,218

69,941
57,212

12,730

75,065
64,675

10,390

82,390
79,264

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

24,756
30,875

21,544
27,132

22,159
26,523

27,339
29,731

Balance on goods......................................................... 1A9999 B XN

14,780

17,329

22,382

....
....
....

12,265
17,344

9,702

13,742
18,594

12,477

15,950
22,471

15,861

13,099

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

14,407
14,750

9,358

18,348
17,547

13,278

23,751
24,389

15,223

23,262
25,011

11,349

14,986
13,103

17,755
15,635

18,589
19,050

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,987
3,557

2,004
3,719

2,296
4,227

2,386
4,761

2,262
4,606

2,258
4,455

2,883
5,143

B. Capital Account........................................... 20999F B AA

....

324

212

210

272

227

234

275

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

337
14

225
13

237
27

300
28

249
22

244
10

291
15

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

Balance on goods and services...................................... 1Z9999 B XN

8,112

11,775

....

3,966

....
....
....

10,485
4,213
6,272

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

7,141

9,024

13,502

9,246

6,907

9,355

552

11,593

1,793
9,165
7,372

16,523
10,755
5,768

30,138
22,479
7,659

10,876
2,467
8,409

4,632
5,946
1,315

21,985
9,311
12,674

....
....
....

17,917
9,412
8,505

30,418
14,790
15,628

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

10,414
4,989
5,426

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

6,026

8,146

3,125

733

271

6,183

1,713

9,182

5,494

14,695

3,908
7,574
11,482

14,993
6,916
8,077

3,574
512
4,086

19,403
2,501
16,902

8,827
1,266
10,092

11,371
8,249
3,121

5,758
763
6,521

16,102
13,530
2,571

1,299
5,212
6,512

37,770
19,165
18,606

27,664
15,064
12,600

6,579
3,288
9,867

21,789
5,366
16,423

11,121
5,279
5,842

7,157
1,782
8,939

28,806
480
29,286

17,374
1,045
18,419

19,326
5
19,331

1,816
....
....

152
....
....

878
....
....

1,670
....
....

3,019
....
....

430
....
....

938
....
....

....
....
....

3,556
....
3,556

15,134
....
15,134

13,807
....
13,807

16,115
....
16,115

13,107
....
13,107

38,389
....
38,389

116,107
....
116,107

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

4,886
....
4,886

4,146

11,416
....
11,416

14,756
....
14,756

30,915
....
30,915

33,152
....
33,152

47,237
....
47,237

119,301
....
119,301

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

Conversion rates: euros per U.S. dollar............ RFZ F B

2,420

14,054

20,839

16,089

688

12,982

4,325

6,740

13,734

20,601

13,572

2,862

12,547

180

4,321

320

238

2,516

2,173

435

....
....
....

180
....
....

4,321
....
....

320
....
....

238
....
....

2,516
....
....

2,173
....
....

435
....
....

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
328
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Finland

172
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

Data reported to the IMF on a BPM6 basis


CURRENT ACCOUNT.......................................... 109999 B XN
....
7,788
11,563
13,292
GOODS AND SERVICES..................................... 1Z9999 B XN
....
9,702
12,477
15,861
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2008

2009

2010

2011

6,680
7,141
91,485
84,344
12,730
69,941
61,889
7,928
....
57,212
57,193
....
5,589
21,544
27,132
1,711
53
....
....
2,878

5,948
6,026
97,223
91,198
10,390
75,065
68,064
6,765
....
64,675
64,645
....
4,364
22,159
26,523
2,013
9
....
....
3,237

1,989
733
109,728
108,995
3,125
82,390
76,688
5,324
....
79,264
79,242
....
2,392
27,339
29,731
2,592
64
....
....
3,726

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

82,340
72,638
14,780
70,075
64,429
5,596
....
55,295
55,281
....
5,078
12,265
17,344
1,457
50
....
....
2,621

95,565
83,088
17,329
81,823
75,559
6,186
....
64,494
64,475
....
4,852
13,742
18,594
2,681
58
....
....
2,794

114,144
98,283
22,382
98,194
88,581
9,553
....
75,812
75,787
....
6,521
15,950
22,471
2,438
102
....
....
3,305

8,974
13,099
129,564
116,466
19,218
104,809
95,921
8,830
....
85,591
85,561
....
6,120
24,756
30,875
1,961
220
....
....
3,817

4,337

5,007

5,827

7,749

4,936

5,758

7,031

2,180
882
1,299
3,057
1,009
2,047
5,896
573
62
81
1,206
1,723
2,238
13
....
9,759
483
145
95
1,123
1,658
6,202
52
....

2,380
1,029
1,351
3,424
1,204
2,220
5,780
351
67
74
1,070
1,724
2,469
24
....
10,082
329
192
173
1,299
1,593
6,440
55
....

2,837
1,148
1,689
3,983
1,161
2,822
7,300
424
139
424
1,281
2,057
2,955
19
....
12,544
340
351
215
1,441
1,853
8,300
46
....

3,220
1,171
2,049
4,501
1,321
3,180
15,608
1,317
174
635
1,488
8,364
3,580
51
....
18,368
604
366
202
2,109
2,367
12,466
253
....

2,777
986
1,792
4,394
1,018
3,376
14,053
1,303
170
522
1,754
7,218
3,078
7
....
17,721
520
312
204
1,336
3,796
11,285
268
....

3,040
1,025
2,015
4,304
959
3,345
13,751
1,099
111
564
2,329
6,635
3,004
9
....
16,422
498
408
555
1,311
2,554
10,820
276
....

3,823
1,202
2,620
4,878
1,071
3,807
17,061
1,943
117
684
3,192
6,855
4,194
78
....
17,738
1,345
461
364
1,356
2,541
11,319
351
....

....
....
....
....
....
....
....
....
....
....
....

344
14,407
14,750
693
249
13,714
7,030
6,458
4,552
1,906
572

801
18,348
17,547
691
309
17,657
9,298
8,753
9,833
1,080
545

638
23,751
24,389
766
367
22,985
11,641
10,823
9,156
1,666
818

1,749
23,262
25,011
908
428
22,355
10,683
9,754
7,240
2,514
929

1,883
14,986
13,103
875
429
14,111
8,595
7,970
5,237
2,733
624

2,120
17,755
15,635
848
493
16,908
10,960
10,519
7,134
3,386
440

462
18,589
19,050
751
442
17,837
10,689
10,262
11,612
1,349
427

889
1,113
438
565
3,125
559

1,135
1,037
444

675
3,881
380

1,450
1,171
464

829
4,516
397

1,641
1,371
497
1,033
5,935
678

1,327
988
405

832
3,407
592

1,470
1,220
400

963
4,236
438

1,768
1,286
481
1,131
5,097
676

_______________________________________________________________________________________________________________________________
329
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Finland

172
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,708
1,152
....
....
3,556
1,976
....
1,976
....
....
....
....
14,501
4,828
4,530
3,296
1,234
299
7,732
3,572
....
....
4,160
1,941
....
1,941
....
....
....

5,744
1,579
....
....
4,165
2,615
....
2,615
....
....
....
....
17,239
6,310
5,891
2,764
3,127
419
8,596
3,843
....
....
4,754
2,332
....
2,332
....
....
....

7,568
2,299
....
....
5,269
3,776
....
3,776
....
....
....
....
24,022
9,895
9,257
9,327
70
638
10,785
4,967
....
....
5,818
3,342
....
3,342
....
....
....

7,259
1,822
....
....
5,437
4,412
....
4,412
....
....
....
....
24,584
7,832
7,006
5,415
1,591
826
12,453
6,129
....
....
6,324
4,299
....
4,299
....
....
....

3,974
816
....
....
3,157
1,543
....
1,543
....
....
....
....
12,674
2,565
1,624
4,404
2,780
941
8,458
3,403
....
....
5,055
1,652
....
1,652
....
....
....

5,163
1,220
....
....
3,943
785
....
785
....
....
....
....
15,142
5,335
4,336
3,448
888
999
8,648
3,281
....
....
5,367
1,158
....
1,158
....
....
....

6,004
1,657
....
....
4,348
1,144
....
1,144
....
....
....
....
18,608
6,719
5,709
7,153
1,444
1,009
10,120
3,923
....
....
6,197
1,769
....
1,769
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,570
1,987
406
1,581
....
1,581
3,557
2,491
1,066
17
1,049

1,715
2,004
435
1,569
....
1,569
3,719
2,590
1,129
22
1,107

1,931
2,296
475
1,821
....
1,821
4,227
2,825
1,401
24
1,377

2,376
2,386
466
1,919
....
1,919
4,761
3,245
1,516
30
1,487

2,344
2,262
440
1,822
....
1,822
4,606
3,334
1,273
25
1,248

2,198
2,258
492
1,766
....
1,766
4,455
3,157
1,298
24
1,274

2,260
2,883
442
2,440
....
2,440
5,143
3,698
1,444
25
1,419

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

324
157
....
181
148
....
148
32
14
14
....
14
....

212
14
....
211
166
....
166
45
13
13
....
13
....

210
15
....
222
180
....
180
42
27
27
....
27
....

272
43
....
257
215
....
215
43
28
28
....
28
....

227
25
....
224
192
....
192
32
22
22
....
22
....

234
24
....
220
164
....
164
56
10
10
....
10
....

275
18
....
273
216
....
216
57
15
15
....
15
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

3,787

5,035

232

11,355

6,665

3,321

14,260

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

390
10,485
4,213
2,307
2,307
....
....
1,906
6,272
6,419
147
....

2,839
1,793
9,165
10,245
10,245
....
....
1,080
7,372
9,847
2,475
....

5,462
16,523
10,755
9,089
9,089
....
....
1,666
5,768
3,368
2,400
....

10,735
30,138
22,479
19,965
19,965
....
....
2,514
7,659
613
7,047
....

4,919
3,908
7,574
4,841
4,841
....
....
2,733
11,482
11,898
416
....

3,622
14,993
6,916
3,530
3,530
....
....
3,385
8,077
5,574
2,502
....

2,184
3,574
512
1,861
1,861
....
....
1,349
4,086
2,964
1,122
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
330
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Finland

172
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

10,876
2,467
1,233
....
....
....
1,234
8,409
2,192
6,217
....

4,632
5,946
2,819
....
....
....
3,127
1,315
4,252
5,566
....

21,985
9,311
9,381
....
....
....
70
12,674
5,771
6,903
....

19,403
2,501
910
....
....
....
1,591
16,902
2,253
14,650
....

8,827
1,266
4,046
....
....
....
2,780
10,092
31
10,061
....

11,371
8,249
7,361
....
....
....
888
3,121
915
2,207
....

5,758
763
2,207
....
....
....
1,444
6,521
736
7,258
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7,503
17,917
9,412
54
146
3,879
5,333
....
8,505
102
944
4,054
3,404
....
10,414
4,989
....
927
....
4,061
....
5,426
....
8,087
2,005
656
....

8,629
30,418
14,790
44
359
8,320
6,066
....
15,628
6,417
3,183
2,194
3,834
....
21,789
5,366
....
1,093
....
4,273
....
16,423
....
10,548
5,406
470
....

4,981
16,102
13,530
15
175
8,663
5,027
....
2,571
2,504
3,331
4,493
1,230
....
11,121
5,279
....
616
....
4,663
....
5,842
....
7,198
334
1,022
....

5,858
1,299
5,212
9
821
2,645
3,397
....
6,512
509
2,057
3,232
713
....
7,157
1,782
....
648
....
1,134
....
8,939
....
7,373
840
726
....

8,964
37,770
19,165
30
323
8,499
10,312
....
18,606
418
14,013
4,126
49
....
28,806
480
....
754
....
274
....
29,286
....
10,473
14,657
4,155
....

10,291
27,664
15,064
12
123
10,915
4,014
....
12,600
4,919
16,867
10,489
1,303
....
17,374
1,045
....
639
....
406
....
18,419
....
2,474
16,073
129
....

12,747
6,579
3,288
13
505
3,360
445
....
9,867
3,387
9,930
111
3,339
....
19,326
5
....
482
....
487
....
19,331
....
11,087
8,221
22
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

1,816
....
....

152
....
....

878
....
....

1,670
....
....

3,019
....
....

430
....
....

938
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,330
3,556
....
3,556
2,046
126
1,415
924
....
4,886
....
....
4,886
1,337
4,939
829
1,239
....

3,717
15,134
....
15,134
421
8,655
2,811
1,504
....
11,416
....
....
11,416
515
11,610
1,846
821
....

949
13,807
....
13,807
2,593
7,740
830
1,168
....
14,756
....
....
14,756
31
10,951
218
3,646
....

14,800
16,115
....
16,115
2,713
14,528
5,315
806
....
30,915
....
....
30,915
3
17,116
687
10,508
....

20,045
13,107
....
13,107
7,367
9,498
1,067
708
....
33,152
....
1,635
31,517
1,126
22,808
977
2,043
....

8,848
38,389
....
38,389
13,717
8,054
5,985
454
....
47,237
....
....
47,237
623
11,084
549
88
....

3,194
116,107
....
116,107
64,833
12,803
345
905
....
119,301
....
....
119,301
415
65,927
1,121
3,611
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

180
....
8
301
113

4,321
....
23
128
4,216

320
....
38
42
323

238
....
2
117
119

2,516
....
1,635
168
713

2,173
....
10
144
2,308

435
....
121
273
282

NET ERRORS AND OMISSIONS.........................

....

4,325

6,740

13,734

20,601

13,572

2,862

12,547

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
331
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Finland

172
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

Data reported to the IMF on a BPM6 basis


ASSETS.............................................................. 80999S A AA
. . . . 387,118 481,911 599,260
Direct investment............................................. 8A9999 A AA
. . . . 105,983 120,005 152,087
Equity and investment fund shares................. 8AA000 A AA
....
57,080
74,068
95,913
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2008

2009

2010

2011

710,935
176,863
125,652
125,652
....
....
51,211
37,232
13,979
....
251,889
101,299
627
1,566
55,602
43,503
....
150,590
12,062
40,613
56,627
41,287
....
116,824
153,909
....
153,909
15,786
110,476
10,454
12,388
....
11,451
1,740
1,884
423
7,403

809,312
187,187
131,460
131,459
....
....
55,727
40,507
15,221
....
284,106
129,346
616
1,615
74,032
53,083
....
154,760
15,825
54,921
42,932
41,082
....
144,757
183,711
....
183,711
28,850
115,137
16,271
12,662
....
9,551
2,223
1,841
566
4,921

940,574
172,944
123,488
123,452
37
....
49,455
35,993
13,462
....
269,856
111,460
583
1,911
64,001
44,965
....
158,396
17,871
62,158
42,438
35,929
....
238,756
248,679
....
248,679
88,084
122,961
15,229
12,917
....
10,339
2,482
1,718
832
5,307

712,782
131,796
68,628
68,628
....
....
63,168
30,514
32,654
....
292,661
107,778
....
4,285
....
103,492
....
184,884
....
71,577
86,593
26,714
....

783,038
135,380
72,887
72,887
....
....
62,493
28,190
34,303
....
298,168
103,016
....
3,854
....
99,162
....
195,152
....
71,708
97,803
25,642
....

910,320
123,889
70,389
70,389
....
....
53,500
27,675
25,825
....
280,064
71,068
....
3,978
....
67,090
....
208,996
....
78,657
105,817
24,522
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

57,075
6
....
48,903
45,467
3,436
....
154,339
64,511
465
328
32,827
30,891
....
89,828
843
14,964
45,434
28,586
....
34,927
80,539
....
80,539
2,998
56,988
8,676
10,096
....
11,330
809
162
283
10,076

74,062
6
....
45,936
39,703
6,233
....
213,938
96,258
540
755
49,628
45,336
....
117,679
7,673
22,697
50,833
36,477
....
36,687
103,784
....
103,784
2,968
74,374
12,456
12,491
....
7,498
1,002
193
166
6,136

95,895
17
....
56,174
47,066
9,109
....
256,021
122,330
616
693
66,124
54,897
....
133,691
11,149
29,295
50,738
42,510
....
53,394
129,374
....
129,374
5,836
89,974
14,270
16,996
....
8,383
1,319
243
131
6,691

624,953
167,383
108,558
108,553
5
....
58,825
45,079
13,746
....
179,868
61,676
526
1,226
35,145
24,779
....
118,193
11,257
25,133
45,490
36,313
....
129,755
139,604
....
139,604
8,786
93,768
8,428
14,657
....
8,342
1,364
239
248
6,491

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

415,724
78,924
41,231
41,231
....
....
37,693
17,012
20,681
....
230,331
119,952
....
3,022
....
116,930
....
110,379
....
34,082
60,714
15,584
....

512,255
94,366
54,992
54,992
....
....
39,373
21,816
17,557
....
289,490
154,813
....
3,945
....
150,867
....
134,677
....
47,086
67,690
19,901
....

673,368
127,258
71,539
71,539
....
....
55,719
29,290
26,430
....
379,635
229,908
....
4,200
....
225,708
....
149,727
....
54,747
72,614
22,367
....

650,317
136,778
67,055
67,055
....
....
69,723
30,229
39,494
....
246,974
99,159
....
4,704
....
94,455
....
147,815
....
57,075
68,568
22,171
....

_______________________________________________________________________________________________________________________________
332
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Finland

172
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

34,019
72,449
....
204
72,245
505
45,320
6,291
20,129
....

35,644
92,756
....
215
92,541
2
61,408
4,987
26,145
....

51,096
115,379
....
225
115,153
132
76,061
5,730
33,230
....

129,390
137,175
....
220
136,955
65
89,713
5,890
41,288
....

113,675
174,649
....
1,865
172,784
1,229
124,549
7,112
39,894
....

138,005
211,485
....
1,832
209,653
1,744
165,241
6,166
36,502
....

228,672
277,696
....
1,826
275,869
1,320
229,693
7,010
37,846
....

....

28,606

30,344

74,108

25,364

1,846

26,274

30,254

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
333
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

France

132
Table 1. ANALYTIC PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
10.26
12.99
26.61
49.88
35.44
39.79

54.44

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

593.51
681.62

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

436.83
456.50

2006

482.11
511.60

2007

542.89
590.45

2008

600.59
675.31

2009

478.93
528.85

516.61
578.18

19.67

29.49

47.56

74.71

49.92

61.57

88.11

114.94
107.85

121.14
114.24

141.31
130.83

153.87
141.97

181.48
165.74

183.08
171.13

210.74
191.00

12.58

22.59

37.08

62.82

34.17

49.62

68.37

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

156.13
126.72

200.22
162.85

253.89
211.01

5.80

269.07
221.06

14.80

212.46
167.02

213.48
159.02

238.72
173.85

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

25.41
52.49

27.11
54.88

28.93
61.33

29.13
64.21

29.45
76.15

27.91
72.54

30.46
81.40

B. Capital Account........................................... 20999F B AA

....

.66

.27

2.47

1.04

.46

.04

.16

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

2.57
1.91

1.90
2.17

3.42
.95

2.13
1.09

1.39
.93

1.32
1.28

1.86
2.02

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

16.82

14.78

11.26

4.84

3.50

9.60

13.26

24.14

48.83

34.98

39.75

54.60

....

9.48

40.61

40.36

13.79

42.13

43.96

73.89

....
....
....

117.61
60.78
56.83

128.23
104.82
23.41

161.85
113.19
48.66

157.51
98.36
59.15

109.06
69.47
39.59

85.08
60.32
24.76

95.96
67.64
28.33

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

88.78
40.62
48.16

88.65
39.23
49.43

93.07
45.45
47.63

64.11
23.59
40.51

26.88
17.03
9.84

37.83
21.99
15.83

45.21
26.16
19.04

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

243.64
53.98
189.67

325.36
72.19
253.18

281.84
40.13
241.71

158.60
56.98
101.62

98.17
43.68
54.49

33.09
21.82
54.91

244.24
72.54
171.71

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

225.25
64.15
161.10

191.27
94.05
97.22

113.35
10.37
123.72

184.78
18.10
202.88

433.79
66.98
366.81

129.05
5.03
134.08

105.09
3.61
101.48

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

6.36
....
6.36

4.19
....
4.19

58.96
....
58.96

16.64
....
16.64

22.88
....
22.88

45.17
....
45.17

19.33
....
19.33

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

276.85
....
276.85

153.21
....
153.21

264.60
....
264.60

70.04
....
70.04

73.34
....
73.34

167.95
....
167.95

117.65
....
117.65

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

308.24
....
308.24

19.08

363.31
....
363.31

483.27
....
483.27

27.62
....
27.62

261.78
....
261.78

51.87
....
51.87

126.38
....
126.38

D. Net Errors and Omissions............................. 40999S N AA

....

10.03

15.57

16.55

23.02

2.20

3.57

27.67

E. Reserves and Related Items.......................... 4Z999S N AA

....

9.05

11.78

.33

12.02

9.35

7.79

8.38

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

9.05
....
....

11.78
....
....

.33
....
....

12.02
....
....

9.35
....
....

7.79
....
....

8.38
....
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

27.35

16.22

35.04

7.15

4.21

19.29

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
334
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

France

132
Table 2. STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
10.26
12.99
26.61
49.88
35.44
39.79
GOODS AND SERVICES..................................... 1Z9999 B XN
....
12.58
22.59
37.08
62.82
34.17
49.62
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

551.77
564.35
19.67
436.83
429.55
7.28
....
456.50
456.50
....
7.09
114.94
107.85
....
.88
....
....
28.20
....
....
....
32.46
....
....
....
43.95
....
....
31.73
....
....
42.79
3.63
1.13
1.43
6.22
5.23
22.13
2.16
.86
42.78
1.62
2.27
2.38
3.09
3.96
25.65
2.82
.98

603.25
625.84
29.49
482.11
474.31
7.80
....
511.60
511.60
....
6.90
121.14
114.24
....
.83
....
....
31.90
....
....
....
34.24
....
....
....
46.51
....
....
32.69
....
....
42.73
4.15
.82
1.34
6.23
5.78
21.77
1.74
.89
46.48
1.77
2.33
2.08
3.31
4.15
29.10
2.69
1.05

684.20
721.28
47.56
542.89
534.60
8.29
....
590.45
590.45
....
10.47
141.31
130.83
....
.96
....
....
37.85
....
....
....
38.18
....
....
....
54.21
....
....
38.26
....
....
49.25
5.30
1.04
1.82
8.84
6.35
22.89
1.96
1.06
53.43
2.11
2.08
1.95
4.73
5.01
33.14
3.16
1.24

754.46
817.28
74.71
600.59
587.77
12.82
....
675.31
675.31
....
11.90
153.87
141.97
.36
.10
....
....
40.69
....
....
....
42.32
....
....
....
57.23
....
....
41.28
....
....
55.60
6.60
.83
1.96
11.04
6.39
25.35
2.23
1.20
58.27
2.55
2.05
1.92
5.46
5.40
36.18
3.68
1.04

660.42
694.59
49.92
478.93
465.14
13.79
....
528.85
528.85
....
15.75
181.48
165.74
3.87
....
....
....
37.63
....
....
....
40.43
....
....
....
49.58
5.71
43.88
38.42
8.98
29.44
90.40
10.72
3.90
2.26
14.06
8.46
47.16
2.68
1.18
86.90
5.83
2.97
1.86
8.99
9.70
53.35
3.21
.98

699.69
749.31
61.57
516.61
503.76
12.85
....
578.18
578.18
....
11.95
183.08
171.13
4.26
....
....
....
41.99
....
....
....
46.22
....
....
....
46.37
4.91
41.46
38.86
9.88
28.98
90.47
9.07
3.68
3.32
13.15
9.15
47.56
3.55
1.00
86.05
6.34
3.08
2.38
9.35
8.65
52.08
3.43
.74

54.44
68.37
804.25
872.62
88.11
593.51
575.23
18.28
....
681.62
681.62
....
19.74
210.74
191.00
4.08
....
....
....
45.39
....
....
....
52.81
....
....
....
54.88
6.76
48.11
44.23
12.36
31.87
106.39
9.53
5.34
6.52
15.70
10.57
53.52
4.14
1.07
93.96
6.46
3.03
3.67
9.96
9.74
56.69
3.66
.74

....
....
....
....
....
....
....
....
....
....
....

29.40
156.13
126.72
11.43
1.07
144.70
53.29
53.29
26.29
27.00
....

37.37
200.22
162.85
11.89
1.13
188.33
64.11
64.11
32.57
31.53
....

42.88
253.89
211.01
13.22
1.29
240.66
69.29
69.29
34.54
34.76
....

48.01
269.07
221.06
15.11
1.25
253.96
63.07
63.07
51.73
11.34
....

45.44
212.46
167.02
14.99
1.21
197.47
58.20
58.20
41.92
16.27
....

54.46
213.48
159.02
15.70
1.26
197.77
76.96
76.96
51.31
25.65
....

64.87
238.72
173.85
18.34
1.15
220.38
79.95
79.95
42.16
37.79
....

_______________________________________________________________________________________________________________________________
335
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

France

132
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

62.64
7.01
....
....
55.63
28.76
....
28.76
....
....
....
....
125.65
27.17
27.17
9.48
17.68
....
65.30
9.67
....
....
55.63
33.19
....
33.19
....
....
....

79.32
9.11
....
....
70.20
44.91
....
44.91
....
....
....
....
161.72
30.00
30.00
18.15
11.85
....
80.46
13.27
....
....
67.19
51.26
....
51.26
....
....
....

103.72
12.28
....
....
91.45
67.65
....
67.65
....
....
....
....
209.72
35.22
35.22
20.53
14.69
....
94.56
16.35
....
....
78.21
79.94
....
79.94
....
....
....

118.07
12.04
....
....
106.03
72.82
....
72.82
....
....
....
....
219.81
25.32
25.32
22.64
2.68
....
108.50
22.12
....
....
86.39
85.98
....
85.98
....
....
....

107.29
7.46
....
....
99.82
31.99
....
31.99
....
....
....
....
165.81
21.43
21.43
24.69
3.26
....
107.26
18.19
....
....
89.07
37.12
....
37.12
....
....
....

100.99
6.11
....
....
94.87
19.82
....
19.82
....
....
....
....
157.76
27.63
27.63
20.88
6.75
....
107.30
17.32
....
....
89.97
22.83
....
22.83
....
....
....

115.47
13.31
....
....
102.16
24.95
....
24.95
....
....
....
....
172.70
24.72
24.72
14.96
9.77
....
123.94
26.47
....
....
97.46
24.04
....
24.04
....
....
....

....
....
....
....
....
....
....
....
....
....
....

27.08
25.41
16.96
8.45
.51
7.93
52.49
35.26
17.23
3.11
14.12

27.77
27.11
17.95
9.16
1.14
8.02
54.88
35.37
19.51
4.38
15.12

32.41
28.93
18.54
10.39
1.22
9.17
61.33
37.78
23.56
4.71
18.84

35.07
29.13
18.48
10.65
1.17
9.48
64.21
41.41
22.79
5.00
17.79

46.70
29.45
18.06
11.39
1.07
10.32
76.15
43.92
32.23
12.69
19.53

44.63
27.91
16.81
11.10
1.00
10.09
72.54
41.02
31.52
13.01
18.50

50.94
30.46
16.67
13.78
.96
12.82
81.40
43.55
37.85
13.44
24.41

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

.66
.20
.11
2.37
1.83
....
1.83
.54
1.79
1.12
.87
.25
.67

.27
.19
.65
1.71
1.33
....
1.33
.38
1.52
1.20
.95
.25
.32

2.47
1.39
.16
2.03
1.72
....
1.72
.32
.79
.42
.14
.27
.37

1.04
.01
.24
2.12
1.80
....
1.80
.31
.85
.65
.38
.27
.20

.46
.02
.05
1.37
1.22
....
1.22
.15
.89
.71
.42
.29
.18

.04
.03
.03
1.29
1.10
....
1.10
.19
1.25
1.01
.76
.25
.24

.16
....
.02
1.86
1.66
....
1.66
.20
2.01
1.38
1.12
.26
.63

FINANCIAL ACCOUNT........................................ 30999S N AA

....

.43

28.83

40.69

25.81

32.78

36.18

82.26

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

28.83
117.61
60.78
33.78
33.78
....
....
27.00
56.83
57.08
.25
....

39.58
128.23
104.82
73.29
73.29
....
....
31.53
23.41
22.53
.88
....

68.78
161.85
113.19
78.43
78.43
....
....
34.76
48.66
47.68
.98
....

93.41
157.51
98.36
87.02
87.02
....
....
11.34
59.15
59.15
....
....

82.19
109.06
69.47
53.20
53.20
....
....
16.27
39.59
38.48
1.11
....

47.26
85.08
60.32
34.67
34.67
....
....
25.65
24.76
20.97
3.79
....

50.75
95.96
67.64
29.84
29.84
....
....
37.79
28.33
27.24
1.08
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
336
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

France

132
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

88.78
40.62
22.94
22.94
....
....
17.68
48.16
44.12
4.04
....

88.65
39.23
27.38
27.38
....
....
11.85
49.43
33.48
15.95
....

93.07
45.45
30.75
30.75
....
....
14.69
47.63
53.85
6.23
....

64.11
23.59
20.91
20.91
....
....
2.68
40.51
42.95
2.43
....

26.88
17.03
20.29
20.29
....
....
3.26
9.84
9.06
.78
....

37.83
21.99
15.25
15.25
....
....
6.75
15.83
12.13
3.70
....

45.21
26.16
16.40
16.40
....
....
9.77
19.04
15.86
3.18
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

18.40
243.64
53.98
....
9.66
....
63.63
....
189.67
8.27
103.14
....
78.26
....
225.25
64.15
....
8.09
....
56.06
....
161.10
....
67.50
92.42
1.18
....

134.10
325.36
72.19
....
.08
3.31
68.80
....
253.18
19.81
123.38
6.33
103.67
....
191.27
94.05
....
33.17
....
60.88
....
97.22
....
59.43
22.19
15.60
....

168.49
281.84
40.13
.03
21.76
4.44
13.96
....
241.71
54.58
16.39
8.61
194.91
....
113.35
10.37
....
12.71
....
2.34
....
123.72
....
80.95
30.27
12.51
....

26.17
158.60
56.98
....
1.25
4.06
51.67
....
101.62
60.11
77.06
1.95
37.50
....
184.78
18.10
....
12.62
....
30.72
....
202.88
....
19.80
142.37
40.72
....

335.63
98.17
43.68
.01
5.22
1.02
37.44
....
54.49
2.18
45.60
5.02
92.88
....
433.79
66.98
....
14.26
....
52.72
....
366.81
....
33.83
212.35
120.64
....

162.14
33.09
21.82
.02
14.04
2.92
10.73
....
54.91
3.91
149.35
3.07
95.28
....
129.05
5.03
....
15.11
....
10.08
....
134.08
....
66.85
63.85
3.39
....

349.33
244.24
72.54
.01
39.74
3.54
29.26
....
171.71
31.66
118.11
3.08
82.17
....
105.09
3.61
....
.01
....
3.62
....
101.48
....
14.16
63.53
23.78
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

6.36
....
6.36

4.19
....
4.19

58.96
....
58.96

16.64
....
16.64

22.88
....
22.88

45.17
....
45.17

19.33
....
19.33

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

31.39
276.85
....
276.85
4.34
287.82
4.55
2.08
....
308.24
....
....
308.24
3.40
285.22
6.19
32.60
....

210.10
153.21
....
153.21
14.47
161.98
2.03
7.71
....
363.31
....
....
363.31
10.42
328.50
3.74
20.64
....

218.67
264.60
....
264.60
20.16
249.80
10.33
4.97
....
483.27
....
....
483.27
94.76
378.21
.90
9.40
....

97.66
70.04
....
70.04
15.17
44.40
3.17
7.30
....
27.62
....
....
27.62
188.42
181.99
7.17
14.02
....

188.43
73.34
....
73.34
4.44
86.60
.90
7.92
....
261.78
....
14.15
275.92
56.67
194.60
5.87
18.78
....

116.08
167.95
....
167.95
14.36
140.16
4.38
9.06
....
51.87
....
....
51.87
39.70
78.52
.30
12.75
....

244.02
117.65
....
117.65
15.27
83.75
13.60
35.56
....
126.38
....
....
126.38
95.66
237.22
5.92
9.26
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

9.05
2.35
.08
2.11
4.67

11.78
2.09
.02
1.55
15.41

.33
2.32
....
.35
2.34

12.02
3.11
....
1.15
10.06

9.35
1.73
14.20
1.31
4.44

7.79
....
.03
.94
6.81

8.38
....
.28
3.28
11.37

NET ERRORS AND OMISSIONS.........................

....

10.03

15.57

16.55

23.02

2.20

3.57

27.67

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
337
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

France

132
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 4,579.33 5,887.59 7,192.71 6,062.66 6,826.37 7,550.51 7,426.16
Direct investment............................................. 8A9999 A AA
. . . . 1,232.23 1,609.82 1,805.72 1,276.82 1,603.86 1,606.83 1,403.12
Equity and investment fund shares................. 8AA000 A AA
....
943.41 1,288.09 1,388.54
827.06 1,136.99 1,139.73
920.36
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
288.83
....
....
....
1,873.26
524.88
.63
107.25
11.90
405.11
....
1,348.37
15.76
678.36
3.21
651.04
....
146.88
1,252.59
....
1,252.59
27.04
991.76
57.77
176.02
....
74.36
46.61
.88
2.88
24.00

....
....
....
321.73
....
....
....
2,437.74
716.80
.71
128.29
18.44
569.37
....
1,720.94
37.61
866.09
9.86
807.37
....
209.68
1,532.11
....
1,532.11
32.82
1,245.32
60.94
193.03
....
98.24
55.59
.95
1.42
40.29

....
....
....
417.18
414.43
2.75
....
2,965.00
826.85
.75
162.48
24.51
639.11
....
2,138.15
96.22
931.65
19.59
1,090.69
....
354.75
1,951.52
....
1,951.52
58.34
1,611.49
58.10
223.58
....
115.72
70.01
.99
1.13
43.59

....
....
....
449.76
446.03
3.73
....
2,584.90
474.75
.72
88.94
15.32
369.76
....
2,110.15
165.85
927.99
20.99
995.33
....
325.71
1,772.30
....
1,772.30
41.63
1,473.27
54.23
203.17
....
102.92
69.31
.97
2.27
30.38

....
....
....
466.87
459.57
7.30
....
2,953.06
646.02
.76
111.34
20.53
513.39
....
2,307.03
170.65
937.70
27.28
1,171.40
....
393.96
1,742.41
....
1,742.41
51.23
1,427.13
49.59
214.46
....
133.09
86.45
15.23
3.67
27.73

....
....
....
467.11
456.53
10.58
....
2,793.18
679.78
.71
128.56
17.99
532.53
....
2,113.40
163.99
742.82
28.43
1,178.15
....
1,159.10
1,825.16
....
1,825.16
69.27
1,500.81
51.82
203.26
....
166.24
110.42
15.00
4.59
36.22

....
....
....
482.75
471.51
11.24
....
2,366.47
505.41
.69
80.44
12.65
411.63
....
1,861.06
187.12
603.77
24.97
1,045.19
....
1,571.40
1,913.29
....
1,913.29
59.71
1,559.27
62.35
231.96
....
171.88
123.28
14.68
7.79
26.14

. . . . 4,558.12 5,862.79 7,235.56 6,410.79


....
888.94 1,107.29 1,258.31
913.60
....
644.33
804.37
860.40
502.19
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
244.61
302.92
397.91
411.40
....
....
....
389.74
406.18
....
....
....
8.17
5.22
....
....
....
....
....
. . . . 2,081.90 2,585.26 2,926.40 2,605.97
....
690.45
990.33 1,060.38
624.82
....
....
....
....
....
....
90.57
152.42
134.37
76.21
....
....
....
....
....
....
599.89
837.91
926.01
548.61
....
....
....
....
....
. . . . 1,391.44 1,594.93 1,866.02 1,981.15
....
....
....
....
....
....
398.41
485.49
609.58
610.29
....
726.80
807.48
918.84 1,052.11
....
266.23
301.96
337.60
318.75
....
....
....
....
....

7,097.27
1,059.37
642.08
....
....
....
417.30
404.12
13.18
....
3,312.99
825.77
....
121.08
....
704.68
....
2,487.22
....
679.07
1,311.42
496.73
....

7,769.16 7,852.54
1,072.59
994.22
662.29
577.21
....
....
....
....
....
....
410.31
417.01
393.91
397.82
16.40
19.19
....
....
3,249.44 3,172.38
762.24
633.88
....
....
84.14
55.57
....
....
678.09
578.31
....
....
2,487.20 2,538.50
....
....
705.10
709.07
1,299.45 1,341.89
482.65
487.54
....
....

_______________________________________________________________________________________________________________________________
338
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

France

132
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
173.89
248.83
460.18
402.62
449.22 1,209.86 1,622.11
. . . . 1,413.40 1,921.40 2,590.67 2,488.60 2,275.68 2,237.27 2,063.83
....
....
....
....
....
....
....
....
....
1.54
1.62
1.71
1.66
15.89
15.61
15.56
. . . . 1,411.85 1,919.78 2,588.97 2,486.94 2,259.80 2,221.66 2,048.27
....
2.87
31.52
129.27
302.17
251.67
202.17
288.54
. . . . 1,198.75 1,639.65 2,157.55 1,872.17 1,726.93 1,735.23 1,467.89
....
19.00
24.68
28.06
34.37
29.16
27.41
31.49
....
191.23
223.93
274.09
278.23
252.03
256.86
260.35
....
....
....
....
....
....
....
....
....

21.21

24.80

42.85

348.13

270.90

218.66

426.38

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
339
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

French Polynesia

887
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
8.7
159.8
271.4
90.6
153.7
1.8

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

515.5

336.1

458.2

812.2

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

751.3
227.1

785.5
289.6

1,078.7
349.1

B. Capital Account........................................... 20999F B AA

....

1.2

.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
1.2

7.6

....
.3

159.5

271.4

C. Financial Account......................................... 30999F N AA

....

32.3

4.2

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

15.8
15.7
....

10.2
10.2
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

7.8
8.8
.9

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

Balance on goods......................................................... 1A9999 B XN

204.0
1,592.9

198.0
1,612.3

235.3
1,828.9

194.6
2,157.2

2009

149.7
1,697.4

160.2
1,801.6

....
....
....

1,388.9

1,414.3

1,593.6

1,962.7

1,547.7

1,641.4

1,073.9
721.8

1,028.4
543.2

929.1

1,144.2
602.8

1,052.1

1,187.1
707.8

1,483.4

1,026.4
708.9

1,230.2

952.6
634.8

1,323.5

....
....
....

588.1
66.6

667.8
74.7

730.9
137.0

821.7
150.5

774.4
152.3

608.0

741.5
135.6

717.6

....
....
....

1,091.7
370.2

1,103.7
342.1

1,134.6
415.2

....
....

....

....

....

.7

....

....
....

....
....

90.6

....
....

153.7

....
.7

1.1

....
....
....

333.7

123.9

251.2

112.2

....

13.7
14.2
.5

30.0
25.5
4.4

7.8
7.5
.3

89.0
86.3
2.8

....
....
....

30.6
30.6
....

58.2
54.8
3.5

13.9
13.7
.2

10.2
.1
10.3

94.6
90.0
4.6

....
....
....

65.8
....
65.8

17.0
....
17.0

19.7
....
19.7

116.5
....
116.5

126.9
....
126.9

1.9
....
1.9

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

235.0
....
235.0

96.3
....
96.3

529.1
....
529.1

625.1
....
625.1

896.2
....
896.2

688.1
....
688.1

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

276.4
....
276.4

129.5
....
129.5

927.1
....
927.1

616.5
....
616.5

1,023.0
....
1,023.0

579.5
....
579.5

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

24.8

E. Reserves and Related Items.......................... 4Z999S N AA

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

Conversion rates: CFP francs per U.S. dollar..... RFZ F B

....

Balance on goods and services...................................... 1Z9999 B XN

1,036.9

24.8

163.7

62.4

214.5

97.5

113.3

163.7

62.4

214.5

97.5

113.3

....

....

....

....

....

....

....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

95.9570

95.1242

87.1882

81.4642

85.9001

90.1008

....

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
340
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

French Polynesia

887
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
8.7
159.8
271.4
90.6
153.7
1.8
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,036.9
929.1 1,052.1 1,483.4 1,230.2 1,323.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
1,277.9
1,226.4
1,379.5
1,381.6
1,176.1
1,112.9
....
2,314.8
2,155.5
2,431.6
2,865.0
2,406.3
2,436.4
. . . . 1,388.9 1,414.3 1,593.6 1,962.7 1,547.7 1,641.4
....
204.0
198.0
235.3
194.6
149.7
160.2
....
211.8
197.0
192.6
200.9
150.4
159.9
....
7.7
1.0
42.7
6.4
.6
.3
....
....
....
....
....
....
....
....
1,592.9 1,612.3 1,828.9 2,157.2 1,697.4 1,801.6
....
1,592.9
1,612.3
1,828.9
2,157.2
1,697.4
1,801.6
....
....
....
....
....
....
....
....
352.0
485.1
541.5
479.3
317.5
317.9
....
1,073.9
1,028.4
1,144.2
1,187.1
1,026.4
952.6
....
721.8
543.2
602.8
707.8
708.9
634.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.5
....
.2
....
.1
....
....
.4
.5
.5
....
246.5
245.0
291.8
246.4
201.9
226.5
229.3
....
....
....
....
....
....
17.1
245.0
291.8
246.4
201.9
226.5
....
....
....
....
....
....
....
....
....
203.4
205.0
317.9
317.6
245.8
238.8
117.7
....
....
....
....
....
....
....
85.6
205.0
317.9
317.6
245.8
238.8
....
....
....
....
....
....
....
....
530.5
462.6
537.0
521.7
440.2
402.8
....
....
....
....
....
....
....
....
530.5
462.6
537.0
521.7
440.2
402.8
....
311.6
121.9
153.3
158.8
164.0
159.4
....
....
....
....
....
....
....
....
311.6
121.9
153.3
158.8
164.0
159.4
....
296.9
320.8
315.4
418.5
384.4
323.2
....
3.4
....
....
....
.1
1.6
....
3.9
8.8
12.3
4.7
2.4
2.0
....
15.2
3.8
5.8
3.5
4.7
6.0
....
.5
.3
.2
.3
.3
.2
....
19.1
18.9
11.3
40.0
41.9
24.2
....
126.3
132.4
110.1
168.3
160.5
132.5
....
4.3
4.2
8.5
18.3
6.4
6.9
....
124.2
152.3
167.1
183.5
168.1
149.7
....
206.8
216.3
131.6
231.1
298.7
236.1
....
6.3
.4
2.6
.5
1.2
16.5
....
21.8
26.4
15.9
16.6
22.5
23.1
....
5.0
4.5
4.4
21.1
33.9
3.9
....
1.5
1.6
.7
1.7
2.8
3.3
....
10.0
8.9
5.7
18.6
71.4
68.0
....
151.4
164.6
95.2
160.7
153.4
110.1
....
9.7
8.9
6.3
10.6
5.5
6.8
....
1.1
1.0
.9
1.3
8.0
4.4

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

521.4
588.1
66.6
545.9
14.3
42.1
.5
.5
.5
....
....

593.0
667.8
74.7
607.4
14.9
60.3
....
....
....
....
....

593.9
730.9
137.0
674.6
16.2
56.4
2.0
2.0
2.0
....
....

671.2
821.7
150.5
752.1
27.8
69.6
.6
.6
.6
....
....

622.2
774.4
152.3
712.2
30.4
62.3
....
....
....
....
....

605.9
741.5
135.6
687.1
23.6
54.4
1.4
1.4
1.4
....
....

_______________________________________________________________________________________________________________________________
341
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

French Polynesia

887
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

23.1
....
....
....
23.1
18.5
....
18.5
....
....
....
....
52.3
2.2
2.2
2.2
....
....
1.5
....
....
....
1.5
48.6
....
48.6
....
....
....

22.0
....
....
....
22.0
38.3
....
38.3
....
....
....
....
59.8
4.8
4.8
4.8
....
....
.6
....
....
....
.6
54.4
....
54.4
....
....
....

15.4
....
....
....
15.4
38.9
....
38.9
....
....
....
....
120.9
7.5
7.5
7.5
....
....
25.5
....
....
....
25.5
87.8
....
87.8
....
....
....

22.2
....
....
....
22.2
46.7
....
46.7
....
....
....
....
122.7
6.3
6.3
6.3
....
....
16.2
....
....
....
16.2
100.2
....
100.2
....
....
....

20.7
....
....
....
20.7
41.6
....
41.6
....
....
....
....
121.8
5.8
5.8
5.8
....
....
23.9
....
....
....
23.9
92.1
....
92.1
....
....
....

15.3
....
....
....
15.3
37.7
....
37.7
....
....
....
....
112.0
10.9
10.9
10.9
....
....
16.3
....
....
....
16.3
84.8
....
84.8
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

524.2
751.3
668.7
82.6
11.3
71.3
227.1
64.2
162.9
32.6
130.3

495.9
785.5
712.4
73.1
14.4
58.7
289.6
135.7
153.9
36.0
117.9

729.6
1,078.7
878.5
200.2
14.2
186.0
349.1
157.8
191.2
39.6
151.7

721.6
1,091.7
893.8
197.9
11.0
186.9
370.2
170.3
199.9
41.7
158.2

761.6
1,103.7
904.3
199.4
15.6
183.8
342.1
159.0
183.1
33.9
149.2

719.4
1,134.6
907.7
226.9
13.1
213.7
415.2
172.4
242.8
46.9
195.9

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

1.2
....
....
....
....
....
....
....
1.2
....
....
....
1.2

.3
....
....
....
....
....
....
....
.3
....
....
....
.3

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

.7
....
....
....
....
....
....
....
.7
....
....
....
.7

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

32.3

4.2

333.7

123.9

251.2

112.2

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

7.9
15.8
15.7
15.7
15.7
....
....
....
....
....
....
....

20.4
10.2
10.2
10.2
10.2
....
....
....
....
....
....
....

44.6
13.7
14.2
14.2
14.2
....
....
....
.5
.5
....
....

16.1
30.0
25.5
25.5
25.5
....
....
....
4.4
4.4
....
....

2.4
7.8
7.5
7.5
7.5
....
....
....
.3
.3
....
....

5.6
89.0
86.3
86.3
86.3
....
....
....
2.8
2.8
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
342
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

French Polynesia

887
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

7.8
8.8
8.8
8.8
....
....
....
.9
.9
....
....

30.6
30.6
30.6
30.6
....
....
....
....
....
....
....

58.2
54.8
54.8
54.8
....
....
....
3.5
3.5
....
....

13.9
13.7
13.7
13.7
....
....
....
.2
.2
....
....

10.2
.1
.1
.1
....
....
....
10.3
10.3
....
....

94.6
90.0
90.0
90.0
....
....
....
4.6
4.6
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

65.8
65.8
....
....
....
....
....
....
65.8
....
....
....
65.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....

17.0
17.0
....
....
....
....
....
....
17.0
....
....
....
17.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....

19.7
19.7
....
....
....
....
....
....
19.7
....
....
....
19.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....

116.5
116.5
....
....
....
....
....
....
116.5
....
....
....
116.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....

126.9
126.9
....
....
....
....
....
....
126.9
....
....
....
126.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.9
1.9
....
....
....
....
....
....
1.9
....
....
....
1.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

41.4
235.0
....
235.0
75.8
211.8
....
99.0
....
276.4
....
....
276.4
....
223.9
67.0
14.5
....

33.2
96.3
....
96.3
338.4
175.3
....
66.8
....
129.5
....
....
129.5
....
235.3
386.5
21.8
....

398.0
529.1
....
529.1
733.0
74.5
....
129.5
....
927.1
....
....
927.1
....
91.4
783.8
52.0
....

8.6
126.7
625.1
896.2
....
....
625.1
896.2
1,094.2
963.6
318.4
101.0
....
....
150.7
168.4
....
....
616.5 1,023.0
....
....
....
....
616.5 1,023.0
....
....
306.7
80.7
914.5 1,000.7
8.7
102.9
....
....

108.6
688.1
....
688.1
985.5
175.9
....
121.6
....
579.5
....
....
579.5
....
386.1
890.4
75.2
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

24.8

163.7

62.4

214.5

97.5

113.3

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
343
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Gabon

646
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
1,983.0
....
....
....
....
....

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

2005

2006

2007

2008

2009

5,456.9
1,358.8

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

145.5
1,034.0

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

36.5
994.1

2,252.0

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....

17.7
286.7

....
....

....
....

....
....

....
....

....
....

....
....

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

1,983.0

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

C. Financial Account......................................... 30999F N AA

....

1,342.0

....

....

....

....

....

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

159.2
15.6
174.8

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

326.2
320.6
5.5

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

7.6
8.3
.7

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

.7
....
.7

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

1,079.1
....
1,079.1

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

438.1
....
438.1

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

415.1

....

....

....

....

....

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

225.9

....

....

....

....

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

299.5
24.5
98.1

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Conversion rates: CFA francs per U.S. dollar.... RFZ F B

....

527.47

522.89

479.27

447.81

472.19

495.28

471.87

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

4,098.0

3,209.6

641.0

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
344
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Gabon

646
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
1,983.0
....
....
....
....
....
GOODS AND SERVICES..................................... 1Z9999 B XN
....
3,209.6
....
....
....
....
....
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

9.3
1.8
7.4
274.3
97.3
177.0
109.8
....
29.0
....
....
6.1
48.8
....
26.0
439.5
....
66.3
....
....
10.6
341.3
....
21.3

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

957.6
36.5
994.1
9.5
22.2
26.9
13.7
13.7
3.0
10.7
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,602.4
2,392.8
4,098.0
5,456.9
5,463.9
7.0
....
1,358.8
1,358.8
....
888.4
145.5
1,034.0
....
....
....
....
26.4

....
....
....
....
....
....
....
....
....
....
....

3.9
19.9
2.6

320.2

71.9
247.1
1.2

_______________________________________________________________________________________________________________________________
345
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Gabon

646
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.5
....
....
....
.5
12.7
....
12.7
....
....
....
....
971.9
764.7
764.7
435.1
329.6
....
1.6
1.3
....
....
.3
205.6
....
205.6
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

269.0
17.7
3.0
14.7
1.5
13.2
286.7
56.0
230.7
163.4
67.3

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1,567.9

....

....

....

....

....

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

166.9
159.2
15.6
26.3
....
26.3
....
10.7
174.8
53.1
121.8
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
346
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Gabon

646
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

326.2
320.6
9.0
....
9.0
....
329.6
5.5
8.2
2.7
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8.7
7.6
8.3
....
7.2
....
1.0
....
.7
....
....
....
.7
....
1.1
....
....
....
....
....
....
1.1
....
....
....
1.1
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,444.0
1,079.1
....
1,079.1
....
141.5
....
937.6
....
364.9
....
....
364.9
42.7
17.8
166.4
138.0
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

299.5
....
6.0
.1
305.4

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

415.1

....

....

....

....

....

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
347
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Gambia, The

648
Table 1. ANALYTIC PRESENTATION, FISCAL YEARS 20052011 ENDING JUNE 30
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
50.50
72.34
65.75
2.93
29.20
21.05

20.99

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

162.14
295.60

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

115.28

153.21

148.58

71.56

72.21

56.42

64.57

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

90.92
26.14

107.60
26.74

105.81
22.97

96.48
21.99

160.21
58.79

212.75
135.28

164.35
78.80

B. Capital Account........................................... 20999F B AA

....

....

....

.49

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

50.50

....
....

72.34

.49
....

65.26

....
....

2.93

....
....

29.20

....
....

21.05

....
....

20.99

C. Financial Account......................................... 30999F N AA

....

42.63

78.57

92.96

11.92

18.88

24.80

33.39

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

53.65
53.65
....

82.21
82.21
....

78.09
78.09
....

78.61
78.61
....

39.45
39.45
....

37.14
37.14
....

36.00
36.00
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

14.05
....
14.05

14.10
....
14.10

34.18
....
34.18

1.30
....
1.30

20.06
....
20.06

20.30
....
20.30

.32
....
.32

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

3.02
....
3.02

7.87

10.46
....
10.46

19.31
....
19.31

67.99
....
67.99

40.63
....
40.63

82.24
....
82.24

69.07
....
69.07

D. Net Errors and Omissions............................. 40999S N AA

....

34.09

5.08

33.65

37.42

E. Reserves and Related Items.......................... 4Z999S N AA

....

41.96

1.14

5.95

22.57

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

10.12
2.03
54.10

20.60
4.06
23.52

12.76
12.42
5.60

6.30
6.28
10.00

Conversion rates: dalasis per U.S. dollar.......... RFZ F B

....

28.575

28.066

24.873

22.192

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

104.32
222.61

2006

108.86
222.22

2007

134.33
279.57

2008

205.50
274.55

2009

174.21
259.96

139.92
245.76

118.28

113.35

145.24

69.05

85.75

105.84

133.46

82.21
46.88

92.08
94.08

127.95
86.75

117.58
85.65

104.19
82.56

130.64
73.17

152.69
68.23

82.95

115.35

104.04

37.12

64.12

48.37

49.00

3.23
35.56

4.53
42.39

8.99
53.52

12.72
47.15

11.68
19.77

14.35
22.40

13.05
28.61

6.22

27.70

14.85

48.08

3.74

12.40

8.48

89.53

21.84

39.60

93.27

34.25

108.76
15.56
53.59

9.79
3.07
80.42

23.12
3.61
53.76

26.644

28.012

29.462

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
348
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Gambia, The

648
Table 2. STANDARD PRESENTATION, FISCAL YEARS 20052011 ENDING JUNE 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
43.39
65.60
58.41
10.85
63.00
56.26
GOODS AND SERVICES..................................... 1Z9999 B XN
....
82.95 115.35 104.04
37.12
64.12
48.37
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

186.54
269.49
118.28
104.32
104.32
....
....
222.61
222.61
....
35.33
82.21
46.88
....
....
....
....
15.99

200.94
316.29
113.35
108.86
108.86
....
....
222.22
222.22
....
2.00
92.08
94.08
....
....
....
....
16.24

262.27
366.32
145.24
134.33
134.33
....
....
279.57
279.57
....
41.20
127.95
86.75
....
....
....
....
22.12

323.08
360.20
69.05
205.50
205.50
....
....
274.55
274.55
....
31.93
117.58
85.65
....
....
....
....
20.44

278.40
342.52
85.75
174.21
174.21
....
....
259.96
259.96
....
21.63
104.19
82.56
....
....
....
....
19.91

270.57
318.94
105.84
139.92
139.92
....
....
245.76
245.76
....
57.47
130.64
73.17
....
....
....
....
37.72

66.99
49.00
314.83
363.83
133.46
162.14
162.14
....
....
295.60
295.60
....
84.45
152.69
68.23
....
....
....
....
44.23

35.40

34.04

42.31
....

40.62
....

38.72
....

36.49
....

43.80
....

58.18
....
58.18
5.47
3.66
1.81
8.03
....
.37
....
....
7.66
....
....
....
6.02
....
5.04
....
....
.97
....
....
....

66.17
....
66.17
6.40
3.55
2.86
9.67
....
.36
....
....
9.30
....
....
....
53.63
....
5.05
....
....
3.67
44.91
....
....

84.55
....
84.55
8.37
5.75
2.62
21.28
9.06
.39
....
....
11.83
....
....
....
36.08
.49
7.01
....
....
8.20
20.38
....
....

80.34
....
80.34
7.86
4.14
3.72
16.79
3.81
.57
....
....
12.41
....
....
....
37.17
.22
7.17
....
....
4.83
24.95
....
....

62.51
....
62.51
8.93
6.01
2.92
21.78
3.44
.08
....
....
18.26
....
....
....
34.92
.95
6.30
....
....
8.94
18.73
....
....

73.62
....
73.62
10.57
7.49
3.08
19.30
5.92
.38
....
....
13.00
....
....
....
26.11
1.97
5.52
....
....
4.52
14.10
....
....

95.58
....
95.58
10.85
5.58
5.27
12.88
3.54
.55
....
....
8.79
....
....
....
13.59
.63
7.22
....
....
2.39
3.35
....
....

....
....
....
....
....
....
....
....
....
....
....

32.33
3.23
35.56
.73
.74
2.50
....
....
....
....
....

37.86
4.53
42.39
.80
.95
3.73
....
....
....
....
....

44.53
8.99
53.52
2.11
1.15
6.88
....
....
....
....
....

34.44
12.72
47.15
9.29
1.38
3.42
....
....
....
....
....

8.09
11.68
19.77
7.56
1.56
4.12
....
....
....
....
....

8.05
14.35
22.40
8.38
4.20
5.96
....
....
....
....
....

15.56
13.05
28.61
8.45
10.31
4.59
....
....
....
....
....

.66
13.23
2.10
1.92
32.21
1.26

3.41
10.87
1.96

1.55
32.15
.34

2.24
9.75
10.12

40.45
1.85

.23
10.94
9.27

39.68
.94

.96
12.87
6.08
37.61
1.10

5.61
14.51
17.60

35.56
.93

5.72
15.79
22.72

42.67
1.13

_______________________________________________________________________________________________________________________________
349
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Gambia, The

648
Table 2 (Continued). STANDARD PRESENTATION, FISCAL YEARS 20052011 ENDING JUNE 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2.35
....
....
....
2.35
.15
....
.15
....
....
....
....
34.81
26.87
26.87
17.92
8.96
....
7.94
....
....
....
7.94
....
....
....
....
....
....

3.69
....
....
....
3.69
.04
....
.04
....
....
....
....
41.44
32.87
32.87
21.88
10.99
....
8.57
....
....
....
8.57
....
....
....
....
....
....

6.83
....
....
....
6.83
.04
....
.04
....
....
....
....
52.37
38.44
38.44
20.77
17.67
....
13.93
....
....
....
13.93
....
....
....
....
....
....

3.42
....
....
....
3.42
....
....
....
....
....
....
....
45.77
42.78
42.78
23.12
19.66
....
2.99
....
....
....
2.99
....
....
....
....
....
....

4.12
....
....
....
4.12
....
....
....
....
....
....
....
18.21
11.72
11.72
6.81
4.91
....
6.50
....
....
....
6.50
....
....
....
....
....
....

5.96
....
....
....
5.96
....
....
....
....
....
....
....
18.20
11.47
11.47
6.65
4.82
....
6.73
....
....
....
6.73
....
....
....
....
....
....

4.59
....
....
....
4.59
....
....
....
....
....
....
....
18.30
11.22
11.22
6.62
4.60
....
7.08
....
....
....
7.08
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

71.89
98.03
7.10
90.92
58.57
32.35
26.14
1.14
25.00
....
25.00

87.61
114.35
6.74
107.60
62.97
44.63
26.74
.73
26.01
....
26.01

90.17
113.15
7.34
105.81
53.55
52.26
22.97
1.51
21.47
13.49
7.98

82.41
104.40
7.92
96.48
55.52
40.96
21.99
1.62
20.37
1.81
18.56

135.21
194.00
33.79
160.21
72.24
87.97
58.79
3.92
54.87
6.85
48.02

112.68
247.96
35.21
212.75
107.31
105.43
135.28
.54
134.74
53.92
80.82

131.55
210.35
46.00
164.35
82.21
82.14
78.80
1.23
77.56
22.96
54.60

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

.60
....
....
.60
.60
.60
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

2.07
....
....
2.07
2.07
2.07
....
....
....
....
....
....
....

1.17
....
....
1.17
1.17
1.17
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

76.88

70.68

89.99

25.40

54.52

33.27

45.15

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

53.65
....
....
....
....
....
....
....
....
....
....
....

82.21
....
....
....
....
....
....
....
....
....
....
....

78.09
....
....
....
....
....
....
....
....
....
....
....

78.61
....
....
....
....
....
....
....
....
....
....
....

39.45
....
....
....
....
....
....
....
....
....
....
....

37.14
....
....
....
....
....
....
....
....
....
....
....

36.00
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
350
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Gambia, The

648
Table 2 (Concluded). STANDARD PRESENTATION, FISCAL YEARS 20052011 ENDING JUNE 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

53.65
53.65
44.69
44.69
....
....
8.96
....
....
....
....

82.21
82.21
71.22
71.22
....
....
10.99
....
....
....
....

78.09
78.09
60.43
60.43
....
....
17.67
....
....
....
....

78.61
78.61
58.95
58.95
....
....
19.66
....
....
....
....

39.45
39.45
34.54
34.54
....
....
4.91
....
....
....
....

37.14
37.14
32.55
32.55
....
....
4.59
....
....
....
....

36.00
36.00
31.43
31.43
....
....
4.57
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

33.35
14.05
....
14.05
....
14.05
....
....
....
47.39
....
....
47.39
2.03
1.51
46.40
4.53
....

9.08
14.10
....
14.10
....
14.10
....
....
....
23.18
....
....
23.18
4.06
.68
16.78
9.79
....

.87
34.18
....
34.18
....
20.52
....
13.66
....
35.05
....
....
35.05
12.42
19.64
3.32
38.95
....

59.52
1.30
....
1.30
....
10.11
....
11.41
....
60.81
....
....
60.81
6.28
1.46
.90
69.45
....

14.79
20.06
....
20.06
....
5.88
....
14.18
....
5.27
....
38.48
43.75
15.56
9.34
19.80
88.45
....

13.66
20.30
....
20.30
....
12.87
....
7.43
....
33.96
....
....
33.96
3.07
10.81
45.21
71.42
....

58.02
.32
....
.32
....
6.48
....
6.16
....
57.71
....
....
57.71
3.61
.08
7.76
69.16
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

10.12
....
.57
....
10.68

20.60
....
1.31
....
19.29

12.76
....
1.24
....
11.52

6.30
....
.14
....
6.16

108.76
....
38.33
....
70.43

9.79
....
.02
.08
9.85

23.12
....
.04
....
23.16

NET ERRORS AND OMISSIONS.........................

....

34.09

5.08

33.65

37.42

8.48

89.53

21.84

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
351
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Georgia

915
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis

A. Current Account..........................................

10999F B XN

....

756.7 1,271.7 2,104.1 3,132.2 1,247.4 1,323.4 1,905.8

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

1,413.9
2,631.4

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,053.8

1,714.3

2,679.6

3,870.4

2,106.3

2,290.1

3,105.3

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

351.5
54.4

505.6
63.0

655.6
80.0

819.8
81.7

930.0
71.0

1,051.7
85.0

1,329.2
129.7

B. Capital Account........................................... 20999F B AA

....

56.5

152.9

83.4

104.6

177.2

198.3

145.8

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

56.5
....

700.2

152.9
....

83.4
....

104.6
....

177.2
....

198.3
....

145.8
....

C. Financial Account......................................... 30999F N AA

....

771.0 1,688.4 2,376.1 2,206.2 1,343.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

89.1
89.5
.4

15.6
18.0
2.4

203.7
78.6
125.1

173.6
146.6
27.0

24.5
19.8
4.7

190.4
134.5
55.9

182.7
137.2
45.6

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

453.1
383.4
69.8

1,170.3
922.6
247.7

1,877.6
909.9
967.7

1,591.3
1,174.6
416.7

652.9
565.2
87.7

869.1
697.9
171.2

1,153.5
840.2
313.3

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

13.1
....
13.1

2.2
2.2
....

12.7
5.1
7.6

.7
....
.7

1.1
1.1
....

.6
.6
....

....
.1
.1

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

43.4
2.5
40.9

211.4
142.5
68.9

61.8
33.7
28.1

131.5
114.7
16.8

16.2
11.7
27.9

239.5
22.0
261.5

63.9
7.2
71.0

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

1.1
1.2
.2

7.8
11.1
3.3

.6
1.1
.5

.8
1.8
1.0

5.1
12.1
7.0

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

12.6
....
12.6

40.5
....
40.5

172.7
....
172.7

276.7
....
276.7

113.1
....
113.1

411.0
....
411.0

207.9
....
207.9

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

184.9
....
184.9

333.8
....
333.8

824.7
....
824.7

925.3
....
925.3

569.9
....
569.9

464.2
....
464.2

895.3
....
895.3

D. Net Errors and Omissions............................. 40999S N AA

....

26.2

61.9

33.4

39.2

44.7

20.8

16.3

E. Reserves and Related Items.......................... 4Z999S N AA

....

97.0

507.6

322.0

860.6

318.2

174.3

366.7

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

110.6
12.5
26.1

438.6
7.9
61.1

377.1
3.2
51.9

130.6
216.4
774.9

616.2
308.8
10.9

208.2
276.4
106.2

572.6
59.4
265.3

Conversion rates: lari per U.S. dollar................ RFZ F B

....

1.8127

1.7804

1.6705

1.4908

1.6705

1.7823

1.6865

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

1,586.4
3,642.9

2,055.6
4,944.4

2,387.6
6,224.5

1,853.7
4,270.4

2,393.3
5,017.6

3,223.0
6,643.8

1,217.5

2,056.5

2,888.8

3,836.9

2,416.7

2,624.3

3,420.9

737.9
635.8

913.5
733.3

1,107.0
934.7

1,270.9
1,246.2

1,329.3
977.6

1,640.8
1,092.5

2,001.5
1,263.8

1,115.4

1,876.4

2,716.4

3,812.2

2,065.1

2,076.0

2,683.2

263.3
201.7

341.2
179.2

482.5
445.7

586.2
644.4

489.3
530.5

556.6
770.7

757.3
1,179.4

70.8

1,118.8

569.6

2,020.7

355.4

3,027.6

821.4

1,070.2

273.5

1,125.1

1,760.0

971.6 2,143.0

153.5

383.0

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
352
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Georgia

915
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis


CURRENT ACCOUNT.......................................... 109999 B XN
....
694.7 1,190.4 1,991.2 2,810.0 1,138.8 1,191.6 1,790.0
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,115.4 1,876.4 2,716.4 3,812.2 2,065.1 2,076.0 2,683.2
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
2,151.8
2,499.9
3,162.7
3,658.4
3,183.0
4,034.1
5,224.5
....
3,267.2
4,376.3
5,879.1
7,470.7
5,248.1
6,110.1
7,907.7
. . . . 1,217.5 2,056.5 2,888.8 3,836.9 2,416.7 2,624.3 3,420.9
....
1,413.9 1,586.4 2,055.6 2,387.6 1,853.7 2,393.3 3,223.0
....
1,379.2
1,537.0
1,986.2
2,287.5
1,737.5
2,307.5
3,113.1
....
....
....
....
....
....
....
....
....
34.7
49.4
69.4
100.1
116.2
85.8
109.9
....
2,631.4 3,642.9 4,944.4 6,224.5 4,270.4 5,017.6 6,643.8
....
2,631.4
3,642.8
4,944.3
6,224.5
4,270.4
5,017.1
6,643.2
....
....
.1
.1
....
....
.4
.6
....
102.1
180.2
172.3
24.7
351.7
548.3
737.7
....
737.9
913.5
1,107.0
1,270.9
1,329.3
1,640.8
2,001.5
....
635.8
733.3
934.7
1,246.2
977.6
1,092.5
1,263.8
....
14.9
24.9
12.2
9.5
11.8
18.7
8.4
....
.2
.3
.4
1.2
.2
2.5
.5
....
7.9
3.5
.7
.9
3.9
23.4
2.4
....
4.1
5.8
1.4
5.6
3.6
4.7
4.0
....
333.0
412.1
512.8
615.3
624.4
697.5
799.5
45.5
48.0
56.0
57.9
61.4
78.0
114.5
....
....
174.1
227.0
307.5
430.1
437.5
458.3
487.4
....
113.4
137.1
149.3
127.3
125.5
161.2
197.6
....
288.5
388.2
507.8
642.4
491.6
555.0
691.3
68.5
90.2
101.1
134.3
130.3
129.6
170.7
....
....
192.0
272.1
381.3
480.6
336.9
393.6
489.1
....
28.1
25.9
25.4
27.5
24.5
31.8
31.5
....
241.4
312.6
383.7
446.6
475.9
659.2
945.2
....
143.3
167.7
210.2
257.8
259.2
316.5
378.2
....
98.1
144.9
173.5
188.9
216.7
342.8
567.0
....
168.8
166.6
175.8
203.5
181.5
199.1
213.4
....
111.0
112.6
115.9
147.5
128.9
129.9
141.8
....
57.8
54.1
59.9
55.9
52.6
69.2
71.6
....
140.6
160.4
197.5
198.5
213.3
242.0
246.1
....
....
....
2.8
2.2
6.3
9.6
8.6
....
11.0
13.4
13.0
15.1
15.4
38.4
21.1
....
20.3
18.9
9.1
9.7
13.3
16.9
11.2
....
9.3
12.9
10.6
6.2
7.5
4.7
4.6
....
18.6
16.8
15.0
25.5
31.8
32.5
39.1
....
10.8
8.8
20.3
27.1
36.5
41.6
53.7
....
3.2
5.5
8.7
8.9
14.1
13.7
15.7
....
67.4
84.1
118.0
103.8
88.6
84.6
92.2
....
174.1
172.4
249.4
393.5
300.8
331.2
354.6
....
16.0
4.3
6.2
17.8
20.9
9.7
6.4
....
58.9
80.4
110.8
150.7
108.0
120.1
137.3
....
2.2
4.2
12.2
17.4
17.2
14.6
19.7
....
5.3
5.0
4.9
8.4
8.6
7.4
8.0
....
17.9
14.8
13.2
23.3
20.6
17.9
27.7
....
26.1
23.7
34.9
74.2
50.8
60.7
85.1
....
....
....
6.7
17.9
10.5
11.8
11.2
....
47.5
40.1
60.6
83.8
64.2
89.2
59.4
....
....
....
....
....
....
....
....
....
....
....

61.6
263.3
201.7
247.2
18.0
16.1
3.5
3.5
....
3.5
....

162.1
341.2
179.2
315.3
20.2
25.9
.1
....
....
....
.1

36.8
482.5
445.7
405.6
26.4
76.9
....
....
....
....
....

58.2
586.2
644.4
419.2
44.2
167.1
97.6
96.7
17.8
78.9
1.0

41.3
489.3
530.5
391.5
30.1
97.7
66.7
65.4
84.3
18.9
1.3

214.1
556.6
770.7
381.2
48.7
175.4
150.4
149.6
27.8
121.8
.8

422.1
757.3
1,179.4
509.6
70.1
247.6
209.6
209.1
119.1
90.0
.5

_______________________________________________________________________________________________________________________________
353
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Georgia

915
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
1.5
....
1.5
....
11.0
....
11.0
183.7
116.2
109.1
60.6
48.5
7.2
.1
.1
.1
....
....
67.4
....
67.4
....
....
....

....
....
....
....
....
2.9
....
2.9
....
23.0
....
23.0
159.0
94.4
92.0
27.5
64.5
2.4
.4
.4
.4
....
....
64.1
....
64.1
....
....
....

1.5
.9
.9
....
.6
17.1
....
17.1
....
58.3
....
58.3
419.4
297.6
222.2
173.3
49.0
75.3
1.2
1.2
1.2
....
....
120.6
....
120.6
....
....
....

1.0
....
....
....
.9
20.9
....
20.9
....
47.6
....
47.6
600.3
358.4
258.8
185.3
73.5
99.6
29.5
2.9
2.9
....
26.6
212.3
....
212.3
....
....
....

.2
.2
.2
....
....
10.6
....
10.6
....
20.2
....
20.2
500.5
261.8
181.9
233.8
51.8
79.9
38.1
.6
.6
....
37.5
200.6
....
200.6
....
....
....

.3
.3
.3
....
....
11.1
....
11.1
....
13.7
....
13.7
722.0
470.2
380.2
153.0
227.2
90.0
54.0
5.5
5.5
....
48.5
197.8
....
197.8
....
....
....

.3
.3
.3
....
....
18.5
....
18.5
....
19.3
....
19.3
1,109.3
805.3
651.1
300.8
350.3
154.3
76.8
7.3
7.3
....
69.5
227.2
....
227.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....

359.0
413.4
141.4
272.0
198.8
73.2
54.4
41.1
13.3
9.1
4.2

523.9
587.0
191.4
395.5
312.1
83.5
63.0
51.6
11.4
6.6
4.8

688.5
768.5
207.0
561.4
477.5
84.0
80.0
68.5
11.5
5.3
6.1

1,060.4
1,142.0
429.3
712.8
646.3
66.5
81.7
64.3
17.4
6.8
10.6

967.5
1,038.5
200.2
838.3
720.1
118.2
71.0
59.3
11.7
3.6
8.2

1,098.5
1,183.4
232.4
951.1
802.8
148.3
85.0
58.0
26.9
6.4
20.5

1,315.3
1,445.1
254.6
1,190.5
1,027.1
163.4
129.7
114.6
15.2
6.7
8.4

....
....
....
....
....
....
....
....
....
....
....
....
....

56.5
....
....
56.5
48.3
....
48.3
8.2
....
....
....
....
....

155.1
....
....
155.1
145.4
54.4
91.0
9.7
....
....
....
....
....

83.4
....
....
83.4
67.9
....
67.9
15.5
....
....
....
....
....

104.6
....
....
104.6
86.8
2.3
84.5
17.8
....
....
....
....
....

177.2
....
....
177.2
170.0
....
170.0
7.2
....
....
....
....
....

198.3
....
....
198.3
189.4
....
189.4
8.8
....
....
....
....
....

145.8
....
....
145.8
136.1
....
136.1
9.8
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

612.0 1,097.2 1,941.2 2,744.6

916.9 1,014.1 1,660.4

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

542.2 1,185.9 1,673.9 1,417.7


89.1
15.6
203.7
173.6
89.5
18.0
78.6
146.6
93.0
18.0
78.6
67.7
93.0
18.0
78.6
67.7
....
....
....
....
....
....
....
....
3.5
....
....
78.9
.4
2.4
125.1
27.0
....
2.2
2.3
....
.4
.2
127.4
27.0
....
....
....
....

677.4
24.5
19.8
.9
.9
....
....
18.9
4.7
1.3
6.0
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

678.7
190.4
134.5
12.7
12.7
....
....
121.8
55.9
.7
55.3
....

970.8
182.7
137.2
47.2
47.2
....
....
90.0
45.6
9.4
36.1
....

_______________________________________________________________________________________________________________________________
354
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Georgia

915
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

453.1
383.4
334.9
334.9
....
....
48.5
69.8
69.8
....
....

1,170.3
922.6
858.1
858.1
....
....
64.5
247.7
247.7
....
....

1,877.6
909.9
861.0
861.0
....
....
49.0
967.7
967.7
....
....

1,591.3
1,174.6
1,101.1
1,101.1
....
....
73.5
416.7
416.7
....
....

652.9
565.2
617.0
617.0
....
....
51.8
87.7
87.7
....
....

869.1
697.9
470.8
470.8
....
....
227.2
171.2
171.2
....
....

1,153.5
840.2
489.9
489.9
....
....
350.3
313.3
313.3
....
....

15.5
13.1
....
....
....
....
....
....
13.1
....
13.1
....
....
....
2.4
2.5
....
2.5
....
....
....
.1
....
....
.1
....
....

140.3
2.2
2.2
....
2.2
....
....
....
....
....
....
....
....
....
142.4
142.5
....
142.5
....
....
....
.1
....
....
.1
....
....

21.1
12.7
5.1
....
5.1
....
....
....
7.6
....
7.5
....
.1
....
33.7
33.7
....
33.7
....
.1

250.5
.6
.6
....
....
....
.6

....
....
....
....
....
....
11.7
11.7
....
8.2
....
3.5
....
....
....
....
....
....
....

....
....
....
....
....
....
251.1
22.0
....
22.3
....
.3
....
273.1
....
12.2
....
261.0

133.2
....
.1
....
.1
....
....
....
.1
....
....
....
.1
....
133.2
7.2
....
7.3
....
.1

....
....
....
....
....
....

623.2
.7
....
....
....
....
....
....
.7
....
7.5
6.8
....
....
622.5
114.7
....
101.4
....
13.3
....
507.8
....
....
507.8
....
....

10.5
1.1
1.1
....
....
....
1.1

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

1.1
1.2
.2

7.8
11.1
3.3

.6
1.1
.5

.8
1.8
1.0

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

164.9
12.6
....
12.6
.7
4.7
6.9
.3
....
177.5
....
....
177.5
12.7
162.1
13.2
14.9

209.6
40.5
....
40.5
1.9
32.8
7.5
13.3

622.3
172.7
....
172.7
44.8
200.6
5.0
67.6

826.6
276.7
....
276.7
23.5
285.3
41.6
26.7

844.6
113.1
....
113.1
21.3
130.4
26.3
64.9

250.1
....
....
250.1
8.1
243.4
107.6
122.4

795.0
....
....
795.0
53.4
741.7
76.8
29.8

1,103.3
....
....
1,103.3
214.5
548.2
188.0
152.5

731.5
....
225.2
506.4
208.9
375.6
456.4
216.6

703.4
....
....
703.4
21.2
92.2
623.7
8.7

916.0
....
....
916.0
59.7
435.0
275.3
265.4

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

110.6
....
9.5
....
120.1

438.6
....
.2
....
438.8

377.1
....
13.7
....
363.4

130.6
....
2.3
....
133.0

616.2
....
206.0
....
410.3

208.2
....
7.9
....
200.4

572.6
....
1.4
....
571.2

NET ERRORS AND OMISSIONS.........................

....

26.2

61.9

33.4

39.2

44.7

20.8

16.3

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

1.6

.4

16.6

.1

.6

18.9

.7

35.0

.1

3.0

6.1

.1

.1

.1

140.3
....
96.4
43.6
.3

.3

5.1
12.1
7.0

292.4 1,123.9
411.0
207.9
....
....
411.0
207.9
.8
2.4
303.9
333.4
.3
.2
105.9
128.1

.9

18.1

2.2

32.0

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
355
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Georgia

915
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

Data reported to the IMF on a BPM6 basis


ASSETS.............................................................. 80999S A AA
....
1,111.2 1,628.9 2,754.0
Direct investment............................................. 8A9999 A AA
....
116.4
100.9
551.8
Equity and investment fund shares................. 8AA000 A AA
....
110.3
92.2
418.0
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2008

2009

2010

2011

3,875.4
745.3
579.9
579.9
....
....
165.4
1.3
164.0
....
1.4
1.3
....
.1
....
1.2
.1
....
....
....
.1
....
.7
1,017.6
....
1,017.6
4.0
579.8
33.3
400.6

4,758.9
1,029.2
792.4
792.4
....
....
236.8
2.0
234.8
....
2.0
1.9
....
.1
....
1.8
....
.1
....
....
....
.1
....
1.5
1,462.5
....
1,462.5
4.7
885.3
33.5
538.9

5,188.8
1,100.5
879.5
879.5
....
....
221.1
11.4
209.7
....
1.9
1.7
....
....
....
1.7
....
.2
....
....
....
.2
....
4.2
1,264.0
....
1,264.0
2.4
566.1
33.4
662.1

2,110.3
....
218.7
....
1,891.6

2,263.8
....
222.4
....
2,041.4

2,818.2
....
223.3
....
2,594.9

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

110.3
....
....
6.1
....
6.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
516.3
....
516.3
.6
183.9
47.4
284.4
....
478.5
....
1.0
....
477.4

92.2
....
....
8.6
2.3
6.4
....
2.2
2.2
....
2.2
....
....
....
....
....
....
....
....
....
....
594.9
....
594.9
2.8
224.1
41.7
326.3

418.0
....
....
133.7
....
133.7
....
7.7
.2
....
.1
....
....
....
7.6
....
7.5
....
.1
....
.1
833.2
....
833.2
51.5
438.1
36.9
306.7

3,353.6
762.9
602.2
602.2
....
....
160.7
....
160.7
....
.2
.2
....
.1
....
....
....
.1
....
....
....
.1
....
.2
1,110.1
....
1,110.1
24.9
720.4
58.9
306.0

930.8
....
.9
....
929.9

1,361.2
....
14.8
....
1,346.3

1,480.2
....
12.3
....
1,467.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,024.2
2,379.7
1,822.4
1,822.4
....
....
557.4
557.4
....
....
15.1
15.0
....
14.9
....
.1
....
.1
....
....
.1
....
....

6,713.1
3,565.6
2,738.8
2,738.8
....
....
826.7
826.7
....
....
181.2
181.2
....
181.1
....
.2
....
....
....
....
....
....
....

.4

1.1

1.7

.1

4.8

2.6

4.8

9,746.2 12,846.3 14,585.1 16,455.4 18,762.5


5,489.8 6,923.5 7,606.9 8,561.5 9,813.9
3,691.1 4,821.2 5,391.6 6,092.7 7,026.0
3,691.1
4,821.2
5,391.6
6,092.7
7,026.0
....
....
....
....
....
....
....
....
....
....
1,798.7 2,102.2 2,215.3 2,468.8 2,787.9
1,798.7
2,102.2
2,215.3
2,468.8
2,787.9
....
....
....
....
....
....
....
....
....
....
278.0
715.1
898.4 1,152.5 1,259.3
278.0
382.5
388.9
335.5
270.3
....
....
....
....
....
262.1
345.8
347.0
293.4
228.0
....
....
....
....
....
15.9
36.7
41.8
42.1
42.3

.1

....
....
....
....
....
....

.1

332.5
....
....
332.5
....
....

.1

509.5
....
....
509.5
....
....

.1

817.0
....
12.2
524.2
280.6

.1

.2

989.1
....
108.4
613.8
266.8

.4

_______________________________________________________________________________________________________________________________
356
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Georgia

915
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: lari per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
2,629.4
....
....
2,629.4
285.0
308.2
1,485.8
550.4

....
2,966.3
....
....
2,966.3
294.7
548.7
1,440.5
682.5

....
3,978.4
....
....
3,978.4
254.2
1,295.0
1,584.8
844.3

.1
5,207.7
....
....
5,207.7
461.0
1,874.8
1,755.1
1,116.9

.3
6,079.4
....
225.7
5,853.7
688.1
1,498.7
2,234.2
1,432.7

.2
6,741.2
....
221.7
6,519.5
654.7
1,585.3
2,818.5
1,461.0

.4
7,688.9
....
221.0
7,467.9
593.9
2,013.4
3,077.7
1,782.9

....
....

2.0

18.8

38.0

41.2

47.3

66.9

98.9

3,913.1 5,084.2 6,992.2 9,492.8 10,709.7 11,696.5 13,573.7


1.7925

1.7135

1.5916

1.6670

1.6858

1.7728

1.6703

_______________________________________________________________________________________________________________________________
357
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Germany

134
Table 1. ANALYTIC PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
140.22
182.35
248.78
226.27
198.10
200.71

202.73

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

176.22

217.91

293.24

275.07

243.99

251.67

249.16

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

21.01
57.01

24.76
60.32

25.23
69.69

27.48
76.27

23.93
69.82

22.79
73.75

27.77
74.21

B. Capital Account........................................... 20999F B AA

....

1.82

.34

.07

.18

.01

.75

.86

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

4.31
6.13

138.40

3.97
4.31

182.01

4.75
4.67

248.86

4.90
5.08

226.09

4.99
4.98

198.10

4.33
5.08

199.95

5.96
5.10

203.59

C. Financial Account......................................... 30999F N AA

....

164.42

223.36

289.50

253.09

208.48

194.32

210.70

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

72.33
60.99
11.34

118.12
127.16
9.04

120.00
110.44
9.56

84.89
49.97
34.92

90.74
99.16
8.42

84.03
92.25
8.22

52.40
69.82
17.42

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

41.85
40.02
1.83

55.54
37.41
18.13

28.86
63.73
34.87

16.53
5.58
10.95

41.35
1.79
39.56

20.46
15.06
5.40

39.07
14.81
24.25

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

257.33
78.46
178.87

203.39
28.63
174.77

198.95
27.93
171.02

14.74
39.92
25.18

106.89
8.73
98.16

234.65
31.39
203.26

34.85
2.71
37.56

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

221.66
22.06
199.60

181.03
35.66
145.37

414.32
76.96
337.36

29.80
68.64
98.45

6.69
22.89
29.58

60.96
2.66
63.62

90.20
7.78
82.42

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

12.02
....
12.02

7.77
....
7.77

119.86
....
119.86

48.05
....
48.05

13.77
....
13.77

23.40
....
23.40

39.92
....
39.92

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

161.90
....
161.90

261.15
....
261.15

455.26
....
455.26

221.78
....
221.78

130.59
....
130.59

170.22
....
170.22

186.11
....
186.11

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

75.64
....
75.64

26.02

130.50
....
130.50

41.35

161.40
....
161.40

40.64

40.56
....
40.56

27.00

189.87
....
189.87

236.58
....
236.58

26.69
....
26.69

D. Net Errors and Omissions............................. 40999S N AA

....

23.42

37.69

41.88

29.74

22.73

3.51

11.02

E. Reserves and Related Items.......................... 4Z999S N AA

....

2.60

3.65

1.23

2.74

12.36

2.13

3.91

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

2.60
....
....

3.65
....
....

1.23
....
....

2.74
....
....

12.36
....
....

2.13
....
....

3.91
....
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

931.64
742.21

1,080.54
883.67

1,300.21
1,027.40

1,446.50
1,178.72

1,120.87
936.06

1,266.03
1,055.64

1,493.74
1,273.47

176.70
220.10

200.02
234.87

233.13
271.77

265.31
304.28

247.20
269.36

249.58
275.12

267.33
304.99

189.43

196.87

272.82

267.78

184.80

210.39

220.28

146.02

162.02

234.18

228.80

162.64

184.85

182.62

200.02
169.83

251.69
195.80

328.31
269.25

283.49
237.22

248.27
166.93

242.68
175.86

276.71
210.18

10.37

5.64

7.11

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
358
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Germany

134
Table 2. STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
140.22
182.35
248.78
226.27
198.10
200.71
GOODS AND SERVICES..................................... 1Z9999 B XN
....
146.02
162.02
234.18
228.80
162.64
184.85
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,108.34 1,280.56 1,533.35 1,711.80 1,368.06 1,515.61


962.31 1,118.54 1,299.17 1,483.00 1,205.42 1,330.76
189.43
196.87
272.82
267.78
184.80
210.39
931.64 1,080.54 1,300.21 1,446.50 1,120.87 1,266.03
924.49 1,069.53 1,285.69 1,427.96 1,102.13 1,238.32
6.59
9.85
12.74
15.57
15.54
19.08
.56
1.17
1.79
2.97
3.20
8.63
742.21
883.67 1,027.40 1,178.72
936.06 1,055.64
741.14
882.16 1,025.49 1,175.14
931.40 1,046.35
1.07
1.51
1.90
3.59
4.67
9.29
43.40
34.85
38.64
38.98
22.16
25.54
176.70
200.02
233.13
265.31
247.20
249.58
220.10
234.87
271.77
304.28
269.36
275.12
17.51
19.68
20.11
21.74
20.48
21.86
7.67
8.94
9.45
9.42
6.71
6.82
2.34
2.59
2.90
2.99
3.36
3.04
.10
.11
.15
.29
.88
.80
41.47
46.05
54.75
65.10
53.34
58.89

11.41
22.29
7.76

12.65
24.82
8.58

13.23
32.54
8.98

13.48
41.48
10.14

12.73
31.36
9.26

14.57
35.08
9.25

2011
202.73
182.62
1,761.07
1,578.45
220.28
1,493.74
1,458.31
23.64
11.79
1,273.47
1,261.02
12.45
37.66
267.33
304.99
23.38
7.73
2.86
.61
62.26

14.55
37.60
10.11

48.66

55.53

64.83

75.59

56.00

67.73

72.47

29.12
....
....
74.19
11.69
62.50
86.27
10.41
2.16
6.58
7.14
11.07
41.37
1.17
6.37
89.48
6.59
4.80
4.56
8.50
12.31
47.46
3.49
1.77

32.89
....
....
74.12
11.18
62.94
98.81
12.38
3.79
8.64
6.96
13.41
46.33
.94
6.35
96.17
7.35
2.71
5.82
9.33
13.94
50.64
4.72
1.66

36.10
....
....
83.16
12.96
70.20
119.27
13.60
5.86
11.94
8.46
16.36
55.52
1.14
6.38
114.19
9.18
3.32
8.10
11.19
16.85
60.90
2.80
1.85

39.92
....
....
91.60
12.01
79.59
135.56
16.10
4.67
13.46
10.87
19.26
65.00
1.07
5.13
127.38
11.35
4.23
7.80
12.85
18.83
67.74
2.95
1.63

34.73
....
....
81.40
10.02
71.38
135.29
13.58
5.29
13.07
18.05
18.24
61.14
1.25
4.67
124.37
9.39
3.56
7.05
17.63
17.10
65.47
2.78
1.39

34.56
....
....
77.58
10.55
67.03
131.23
11.98
5.83
12.68
14.90
20.12
60.17
1.11
4.44
122.20
7.46
3.97
7.11
13.35
19.57
66.76
2.79
1.18

38.86
....
....
86.17
10.63
75.54
139.97
12.24
6.41
14.62
14.30
21.86
64.92
.90
4.72
138.02
7.79
4.56
9.51
13.14
21.55
77.59
2.71
1.18

30.19
200.02
169.83
6.87
9.06
193.15
61.45
57.93
32.16
25.77
3.52

55.89
251.69
195.80
7.48
9.02
244.21
78.08
73.07
37.62
35.45
5.01

59.06
328.31
269.25
9.77
9.98
318.54
93.58
84.74
43.27
41.47
8.84

46.27
283.49
237.22
10.97
10.70
272.52
36.11
25.38
56.35
30.96
10.73

81.34
248.27
166.93
11.30
10.27
236.97
81.04
71.25
42.93
28.32
9.79

66.82
242.68
175.86
11.73
9.81
230.96
83.26
73.57
47.94
25.63
9.69

66.54
276.71
210.18
13.16
10.98
263.55
98.92
85.48
43.60
41.88
13.44

10.65
21.99
16.01

11.85
24.06
19.62

13.39
28.03
23.41

14.44
32.43
28.72

11.71
21.30
22.99

13.62
28.52
25.58

14.26
30.86
27.36

_______________________________________________________________________________________________________________________________
359
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Germany

134
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

62.95
18.72
....
....
44.22
68.75
....
68.75
....
....
....
....
160.77
39.32
24.43
20.31
4.13
14.89
70.31
11.82
....
....
58.49
51.14
....
51.14
....
....
....

73.70
22.46
....
....
51.25
92.42
....
92.42
....
....
....
....
186.77
42.11
24.15
24.67
.52
17.96
79.33
17.51
....
....
61.81
65.34
....
65.34
....
....
....

97.81
28.06
....
....
69.75
127.15
....
127.15
....
....
....
....
259.27
64.96
40.80
33.64
7.16
24.16
105.55
27.60
....
....
77.94
88.76
....
88.76
....
....
....

114.17
31.39
....
....
82.78
122.23
....
122.23
....
....
....
....
226.52
24.02
.37
33.54
33.16
23.64
125.89
32.68
....
....
93.21
76.62
....
76.62
....
....
....

95.72
22.58
....
....
73.15
60.21
....
60.21
....
....
....
....
156.65
34.19
12.03
23.53
11.51
22.16
87.50
23.85
....
....
63.64
34.97
....
34.97
....
....
....

92.35
15.82
....
....
76.53
55.34
....
55.34
....
....
....
....
166.05
51.53
27.54
24.87
2.68
23.99
82.89
20.07
....
....
62.82
31.63
....
31.63
....
....
....

97.58
19.96
....
....
77.62
67.05
....
67.05
....
....
....
....
199.20
60.41
34.32
26.46
7.86
26.09
100.38
29.85
....
....
70.53
38.41
....
38.41
....
....
....

....
....
....
....
....
....
....
....
....
....
....

36.00
21.01
16.47
4.54
....
4.54
57.01
38.60
18.41
3.65
14.76

35.56
24.76
20.85
3.91
....
3.91
60.32
40.44
19.88
3.68
16.21

44.46
25.23
20.32
4.91
....
4.91
69.69
43.63
26.06
4.11
21.96

48.79
27.48
22.29
5.19
....
5.19
76.27
47.08
29.19
4.53
24.66

45.89
23.93
18.70
5.23
....
5.23
69.82
44.97
24.85
4.17
20.68

50.96
22.79
16.99
5.79
....
5.79
73.75
48.55
25.20
4.03
21.17

46.43
27.77
21.99
5.78
....
5.78
74.21
49.86
24.35
4.14
20.21

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

1.82
....
....
4.31
....
....
....
4.31
6.13
4.35
2.88
1.47
1.77

.34
....
....
3.97
....
....
....
3.97
4.31
2.46
.90
1.55
1.86

.07
....
....
4.75
....
....
....
4.75
4.67
2.85
1.01
1.84
1.82

.18
....
....
4.90
....
....
....
4.90
5.08
2.66
.49
2.17
2.42

.01
....
....
4.99
....
....
....
4.99
4.98
2.39
.06
2.33
2.59

.75
....
....
4.33
....
....
....
4.33
5.08
2.72
.07
2.65
2.36

.86
....
....
5.96
....
....
....
5.96
5.10
3.21
.21
3.00
1.89

FINANCIAL ACCOUNT........................................ 30999S N AA

....

161.82

219.70

290.73

255.83

220.83

196.45

214.61

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

30.48
72.33
60.99
35.22
35.22
....
....
25.77
11.34
23.57
12.22
....

62.57
118.12
127.16
91.71
91.71
....
....
35.45
9.04
16.51
25.55
....

91.14
120.00
110.44
68.97
68.97
....
....
41.47
9.56
28.98
19.42
....

68.36
84.89
49.97
80.93
80.93
....
....
30.96
34.92
43.55
8.63
....

49.38
90.74
99.16
70.83
70.83
....
....
28.32
8.42
11.64
20.07
....

63.58
84.03
92.25
66.62
66.62
....
....
25.63
8.22
31.03
39.25
....

13.33
52.40
69.82
27.94
27.94
....
....
41.88
17.42
11.29
28.70
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
360
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Germany

134
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

41.85
40.02
35.90
35.90
....
....
4.13
1.83
5.77
7.60
....

55.54
37.41
37.93
37.93
....
....
.52
18.13
6.32
24.45
....

28.86
63.73
56.57
56.57
....
....
7.16
34.87
2.56
32.31
....

16.53
5.58
38.75
38.75
....
....
33.16
10.95
5.75
16.70
....

41.35
1.79
13.29
13.29
....
....
11.51
39.56
3.83
35.74
....

20.46
15.06
12.38
12.38
....
....
2.68
5.40
7.35
12.75
....

39.07
14.81
6.96
6.96
....
....
7.86
24.25
3.23
27.48
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

35.66
257.33
78.46
....
20.11
....
58.35
....
178.87
.29
111.53
....
67.05
....
221.66
22.06
....
10.30
....
32.36
....
199.60
....
108.78
93.66
2.84
....

22.37
203.39
28.63
....
15.09
....
13.54
....
174.77
.09
133.61
....
41.07
....
181.03
35.66
....
2.51
....
38.17
....
145.37
....
79.72
63.71
1.94
....

215.36
198.95
27.93
....
20.34
....
7.59
....
171.02
2.28
168.81
....
.07
....
414.32
76.96
....
2.53
....
74.43
....
337.36
....
228.80
84.11
24.45
....

44.54
14.74
39.92
....
46.11
....
6.18
....
25.18
.07
28.04
....
53.16
....
29.80
68.64
....
10.74
....
57.90
....
98.45
....
10.44
67.47
41.42
....

113.58
106.89
8.73
....
9.43
....
18.16
....
98.16
6.90
62.69
....
153.96
....
6.69
22.89
....
.65
....
22.24
....
29.58
....
104.83
113.24
37.99
....

173.69
234.65
31.39
....
10.59
....
20.80
....
203.26
24.98
95.33
145.98
127.62
....
60.96
2.66
....
2.24
....
4.90
....
63.62
....
49.65
74.20
39.06
....

55.35
34.85
2.71
....
3.05
....
5.76
....
37.56
49.44
56.89
12.66
57.66
....
90.20
7.78
....
5.98
....
1.80
....
82.42
....
24.40
117.04
10.22
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

12.02
....
12.02

7.77
....
7.77

119.86
....
119.86

48.05
....
48.05

13.77
....
13.77

23.40
....
23.40

39.92
....
39.92

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

86.25
161.90
....
161.90
26.05
113.15
4.83
27.52
....
75.64
....
....
75.64
2.72
33.67
4.83
39.87
....

130.65
261.15
....
261.15
29.12
256.52
1.15
34.91
....
130.50
....
....
130.50
1.64
69.16
.19
63.18
....

293.87
455.26
....
455.26
91.18
307.32
11.23
68.00
....
161.40
....
....
161.40
16.15
94.92
5.57
55.90
....

181.22
221.78
....
221.78
64.60
120.09
4.19
41.28
....
40.56
....
....
40.56
20.78
60.16
10.96
68.98
....

59.28
130.59
....
130.59
81.72
238.91
.34
26.93
....
189.87
....
16.95
206.82
28.30
162.75
9.47
6.29
....

66.36
170.22
....
170.22
193.54
188.02
85.86
78.85
....
236.58
....
....
236.58
7.36
98.59
127.39
3.25
....

212.79
186.11
....
186.11
194.40
57.72
22.15
27.28
....
26.69
....
....
26.69
42.98
128.48
24.19
34.63
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

2.60
....
....
2.91
.31

3.65
....
.02
1.65
2.02

1.23
....
.05
.63
1.82

2.74
....
.09
1.00
1.65

12.36
....
16.81
1.39
5.84

2.13
....
.01
2.30
.17

3.91
....
.46
4.53
.16

NET ERRORS AND OMISSIONS.........................

....

23.42

37.69

41.88

29.74

22.73

3.51

11.02

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
361
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Germany

134
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 4,977.19 6,207.29 7,621.39 7,045.75 7,517.46 8,677.31 8,775.35
Direct investment............................................. 8A9999 A AA
....
996.72 1,235.96 1,545.29 1,459.59 1,606.57 1,613.84 1,650.47
Equity and investment fund shares................. 8AA000 A AA
....
824.81 1,036.92 1,309.83 1,179.87 1,293.09 1,299.16 1,318.70
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
171.91
146.35
25.56
....
1,817.91
771.38
....
52.18
....
719.20
....
1,046.53
1.06
585.86
....
459.61
....
....
2,060.89
....
2,060.89
50.94
1,475.50
42.57
491.87
....
101.67
56.54
1.89
3.48
39.76

....
....
....
199.04
168.84
30.20
....
2,266.37
884.23
....
65.29
.57
818.37
....
1,382.14
1.22
810.71
2.03
568.18
....
....
2,593.32
....
2,593.32
24.62
1,878.81
44.72
645.17
....
111.64
69.95
2.01
1.96
37.72

....
....
....
235.46
197.91
37.55
....
2,624.81
954.03
....
79.53
1.05
873.46
....
1,670.78
3.72
1,025.70
3.19
638.18
....
....
3,315.06
....
3,315.06
124.27
2,360.57
36.04
794.17
....
136.23
91.91
2.16
1.40
40.77

....
....
....
279.72
239.37
40.35
....
2,149.16
589.53
....
29.68
1.24
558.62
....
1,559.63
3.58
924.24
4.63
627.18
....
....
3,298.96
....
3,298.96
179.56
2,315.99
29.37
774.04
....
138.04
94.91
2.20
2.38
38.56

....
....
....
313.48
268.37
45.12
....
2,507.87
707.09
....
29.28
1.39
676.42
....
1,800.78
10.74
933.03
15.50
841.51
....
....
3,222.17
....
3,222.17
274.13
2,103.56
42.78
801.71
....
180.85
120.92
19.10
3.90
36.93

....
....
....
314.68
271.99
42.68
....
2,555.69
739.72
....
30.13
1.23
708.35
....
1,815.97
32.97
758.36
175.70
848.94
....
1,047.83
3,243.47
....
3,243.47
451.53
1,814.37
126.28
851.29
....
216.50
154.20
18.77
6.17
37.35

....
....
....
331.78
272.54
59.23
....
2,380.35
647.17
....
30.85
1.28
615.04
....
1,733.18
69.95
644.87
167.60
850.75
....
1,185.26
3,320.41
....
3,320.41
615.89
1,721.33
139.63
843.56
....
238.86
171.93
18.26
10.58
38.08

. . . . 4,426.89 5,357.37 6,675.98 6,171.51


....
813.16 1,029.90 1,246.94 1,137.23
....
401.81
513.48
649.61
571.70
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
411.35
516.42
597.33
565.53
....
271.56
352.95
400.66
396.02
....
139.79
163.47
196.67
169.51
....
....
....
....
....
. . . . 2,114.04 2,507.97 3,294.35 2,951.87
....
445.16
622.86
908.92
472.28
....
....
....
....
....
....
61.75
65.96
74.62
22.76
....
....
....
....
....
....
383.40
556.90
834.30
449.52
....
....
....
....
....
. . . . 1,668.88 1,885.11 2,385.44 2,479.58
....
....
....
....
....
....
834.95
938.20 1,243.39 1,200.34
....
792.01
900.25 1,054.13 1,153.96
....
41.93
46.67
87.91
125.28
....
....
....
....
....

6,380.25
1,216.91
597.75
....
....
....
619.16
416.84
202.32
....
3,180.81
649.46
....
33.86
....
615.60
....
2,531.35
....
1,157.18
1,285.10
89.07
....

7,532.32
1,191.98
579.19
....
....
....
612.79
407.29
205.49
....
3,139.44
662.57
....
37.58
....
624.99
....
2,476.88
....
1,059.75
1,294.66
122.47
....

7,700.88
1,221.88
571.47
....
....
....
650.41
415.27
235.14
....
3,194.38
570.54
....
25.23
....
545.31
....
2,623.84
....
1,046.43
1,466.33
111.09
....

_______________________________________________________________________________________________________________________________
362
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Germany

134
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
. . . . 1,050.82 1,202.21
. . . . 1,499.69 1,819.49 2,134.68 2,082.42 1,982.54 2,150.07 2,082.41
....
....
....
....
....
....
....
....
....
1.73
1.82
1.91
1.86
18.91
18.57
18.51
. . . . 1,497.96 1,817.67 2,132.77 2,080.55 1,963.63 2,131.50 2,063.89
....
7.41
6.35
23.56
41.99
13.15
19.54
60.24
. . . . 1,145.42 1,320.96 1,540.77 1,387.92 1,265.45 1,306.73 1,152.00
....
26.83
30.40
31.44
40.09
35.25
161.51
182.01
....
318.30
459.97
537.00
610.56
649.79
643.73
669.64
....
....
....
....
....
....
....
....
....

550.30

849.92

945.41

....

.8477

.7593

.6793

874.24 1,137.20 1,145.00 1,074.47


.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
363
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ghana

652
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
. . . . 1,104.6 1,056.1 2,378.8 3,327.4 1,897.2 2,747.3 3,500.5
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

2,898.8

3,304.3

4,422.0

5,538.9

3,975.2

5,069.8

6,098.0

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,794.2
....

2,248.3
....

2,043.2
....

2,211.5
....

2,078.0
....

2,322.4
....

2,597.4
....

B. Capital Account........................................... 20999F B AA

....

331.2

229.9

188.1

463.3

563.9

337.5

445.1

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

331.2
....

773.4

229.9
....

188.1
....

463.3
....

563.9
....

337.5
....

445.1
....

C. Financial Account......................................... 30999F N AA

....

834.5 1,255.0 2,641.0 2,297.1 4,072.9 3,085.0 4,088.0

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

6.9
....
6.9

....
....
....

25.4
....
25.4

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

145.0
145.0
....

636.0
636.0
....

1,383.2
605.8
777.4

2,714.9
1,429.4
1,285.6

2,372.5
1,939.5
433.0

2,527.4
2,527.4
....

3,222.2
3,222.2
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

65.8
....
65.8

373.3
....
373.3

....
....
....

41.3
....
41.3

201.4
....
201.4

437.4
2.8
434.6

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

685.7
....
685.7

127.4
....
127.4

449.6
534.5
84.9

84.4
18.1
102.5

310.1
.8
310.9

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

....
....
....

....
....
....

76.6
....
76.6

349.1
....
349.1

370.2
....
370.2

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

689.5
....
689.5

553.2
....
553.2

1,022.0
....
1,022.0

58.6
....
58.6

1,669.2
....
1,669.2

843.3
....
843.3

763.8
....
763.8

D. Net Errors and Omissions............................. 40999S N AA

....

63.6

E. Reserves and Related Items.......................... 4Z999S N AA

....

124.6

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

334.6
15.1
225.0

Conversion rates: cedis per U.S. dollar............. RFZ F B

....

.9063

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

2,802.2
5,347.3

3,726.7
6,753.7

4,172.1
8,066.1

5,269.7
10,268.5

5,839.7
8,046.3

7,960.1
10,922.1

12,785.4
15,842.7

2,545.1

3,027.0

3,894.0

4,998.8

2,206.6

2,962.0

3,057.3

1,106.5
1,273.1

1,382.8
1,532.8

1,831.9
1,998.6

1,800.9
2,298.1

1,769.7
2,943.1

1,477.3
3,003.2

1,871.1
3,666.6

2,711.7

3,177.0

4,060.7

5,495.9

3,380.0

4,488.0

4,852.7

43.3
230.4

73.3
200.6

84.0
445.2

85.6
128.6

125.2
720.4

52.9
634.7

58.8
1,304.0

61.1

826.1

428.8

2,190.6

2,864.1

1,333.3

2,409.8

3,055.4

450.3

567.0

2,739.7

675.1

1,032.5

10.4

37.9

373.8 1,711.2

251.4

677.2

418.5

412.5

940.8

1,028.4

423.8

355.3

272.9
267.2
121.6

412.5
....
....

940.8
....
....

1,134.4
105.0
.9

680.3
119.7
136.9

646.7
171.0
120.4

.9165

.9352

1.0579

1.4088

1.4310

1.5119

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
364
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ghana

652
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 1,104.6 1,056.1 2,378.8 3,327.4 1,897.2 2,747.3 3,500.5
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 2,711.7 3,177.0 4,060.7 5,495.9 3,380.0 4,488.0 4,852.7
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
3,908.7
5,109.5
6,004.0
7,070.6
7,609.4
9,437.4 14,656.5
....
6,620.4
8,286.5 10,064.7 12,566.6 10,989.4 13,925.3 19,509.2
. . . . 2,545.1 3,027.0 3,894.0 4,998.8 2,206.6 2,962.0 3,057.3
....
2,802.2 3,726.7 4,172.1 5,269.7 5,839.7 7,960.1 12,785.4
....
1,856.4
2,449.4
2,438.4
3,023.5
3,288.3
4,156.6
7,865.2
....
....
....
....
....
....
....
....
....
945.8
1,277.2
1,733.8
2,246.2
2,551.4
3,803.5
4,920.2
....
5,347.3 6,753.7 8,066.1 10,268.5 8,046.3 10,922.1 15,842.7
....
5,347.3
6,753.7
8,066.1 10,268.5
8,046.3 10,922.1 15,842.7
....
....
....
....
....
....
....
....
....
166.6
150.0
166.7
497.2 1,173.4 1,525.9 1,795.4
....
1,106.5
1,382.8
1,831.9
1,800.9
1,769.7
1,477.3
1,871.1
....
1,273.1
1,532.8
1,998.6
2,298.1
2,943.1
3,003.2
3,666.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
145.9
203.4
313.2
239.5
322.8
363.7
554.2
31.4
49.2
82.5
51.1
80.9
86.1
103.1
....
....
65.3
77.2
101.8
108.4
115.5
142.9
228.9
....
49.2
77.0
129.0
80.0
126.5
134.7
222.2
....
580.9
739.6
855.2 1,104.6
894.3 1,135.3 1,801.8
169.1
229.6
257.8
328.3
263.5
308.5
561.7
....
....
352.4
429.3
506.8
661.0
538.3
718.5
1,042.7
....
59.4
80.7
90.6
115.3
92.6
108.4
197.4
....
836.1
861.3
908.2
918.7
768.0
619.5
694.0
....
585.3
602.9
635.8
643.1
537.6
433.7
485.8
....
250.8
258.4
272.5
275.6
230.4
185.9
208.2
....
302.8
344.5
558.0
542.1
684.4
574.4
464.2
....
212.0
241.2
390.6
379.4
479.1
402.1
325.0
....
90.8
103.4
167.4
162.6
205.3
172.3
139.3
....
124.5
318.1
610.4
642.7
678.9
494.1
623.0
....
....
....
....
....
....
....
....
....
8.1
9.5
12.6
13.4
14.3
17.7
28.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
92.8
168.6
380.4
387.2
416.9
342.7
463.2
....
....
....
....
....
....
....
....
....
23.6
140.0
217.5
242.1
247.7
133.7
131.5
....
389.4
448.7
585.4
651.4 1,364.3 1,293.5 1,400.5
....
....
....
....
....
....
....
....
....
57.4
69.9
82.5
107.6
87.6
117.0
169.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
199.0
287.8
316.6
283.2
700.0
617.5
690.0
....
....
....
....
....
....
....
....
....
133.0
91.0
186.3
260.5
576.7
559.1
540.8
....
....
....
....
....
....
....
....
....
....
....

187.1
43.3
230.4
....
....
43.3
....
....
....
....
....

127.4
73.3
200.6
....
....
73.3
....
....
....
....
....

361.3
84.0
445.2
....
....
84.0
....
....
....
....
....

43.0
85.6
128.6
....
....
85.6
....
....
....
....
....

595.2
125.2
720.4
....
....
125.2
....
....
....
....
....

581.8 1,245.3
52.9
58.8
634.7
1,304.0
....
....
....
....
52.9
58.8
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
365
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ghana

652
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
43.3
....
43.3
....
....
....
....
230.4
94.3
71.1
71.1
....
23.2
....
....
....
....
....
136.1
....
136.1
....
....
....

....
....
....
....
....
73.3
....
73.3
....
....
....
....
200.6
91.5
91.5
91.5
....
....
....
....
....
....
....
109.1
....
109.1
....
....
....

....
....
....
....
....
84.0
....
84.0
....
....
....
....
445.2
333.6
333.6
38.5
295.1
....
28.9
....
....
....
28.9
82.7
....
82.7
....
....
....

....
....
....
....
....
85.6
....
85.6
....
....
....
....
128.6
80.3
80.3
35.0
115.3
....
106.6
....
....
....
106.6
102.3
....
102.3
....
....
....

24.1
24.1
....
....
....
101.1
....
101.1
....
....
....
....
720.4
495.3
495.3
240.5
254.8
....
118.5
33.5
....
....
85.0
106.6
....
106.6
....
....
....

....
....
....
....
....
52.9
....
52.9
....
....
....
....
634.7
395.6
395.6
395.6
....
....
148.7
45.9
....
....
102.8
90.4
....
90.4
....
....
....

3.4
3.4
....
....
....
55.4
....
55.4
....
....
....
....
1,304.0
1,062.0
1,062.0
1,062.0
....
....
136.2
18.6
....
....
117.7
105.8
....
105.8
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,794.2
1,794.2
244.5
1,549.8
99.2
1,450.6
....
....
....
....
....

2,248.3
2,248.3
603.7
1,644.6
105.3
1,539.3
....
....
....
....
....

2,043.2
2,043.2
209.4
1,833.8
117.4
1,716.4
....
....
....
....
....

2,211.5
2,211.5
241.1
1,970.4
126.1
1,844.3
....
....
....
....
....

2,078.0
2,078.0
289.6
1,788.4
114.5
1,673.9
....
....
....
....
....

2,322.4
2,322.4
199.7
2,122.7
135.9
1,986.8
....
....
....
....
....

2,597.4
2,597.4
228.7
2,368.8
151.6
2,217.2
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

331.2
....
....
331.2
331.2
....
331.2
....
....
....
....
....
....

229.9
....
....
229.9
229.9
....
229.9
....
....
....
....
....
....

188.1
....
....
188.1
188.1
....
188.1
....
....
....
....
....
....

463.3
....
....
463.3
463.3
....
463.3
....
....
....
....
....
....

563.9
....
....
563.9
563.9
....
563.9
....
....
....
....
....
....

337.5
....
....
337.5
337.5
....
337.5
....
....
....
....
....
....

445.1
....
....
445.1
445.1
....
445.1
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

709.8

836.5 2,228.5 3,238.0 3,044.5 2,661.2 3,732.6

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

145.0
....
....
....
....
....
....
....
....
....
....
....

636.0 1,383.2 2,714.9 2,365.6 2,527.4 3,196.9


....
....
....
6.9
....
25.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
6.9
....
25.4
....
....
....
6.9
....
25.4
....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
366
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ghana

652
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

145.0
145.0
145.0
145.0
....
....
....
....
....
....
....

636.0
636.0
636.0
636.0
....
....
....
....
....
....
....

1,383.2
605.8
310.7
310.7
....
....
295.1
777.4
777.4
....
....

2,714.9
1,429.4
1,544.7
1,544.7
....
....
115.3
1,285.6
1,285.6
....
....

2,372.5
1,939.5
1,684.7
1,684.7
....
....
254.8
433.0
433.0
....
....

2,527.4
2,527.4
2,527.4
2,527.4
....
....
....
....
....
....
....

3,222.2
3,222.2
3,222.2
3,222.2
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

65.8
65.8
....
....
....
....
....
....
65.8
....
....
....
65.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....

312.4
373.3
....
....
....
....
....
....
373.3
....
....
....
373.3
....
685.7
....
....
....
....
....
....
685.7
....
....
769.6
83.9
....

127.4
....
....
....
....
....
....
....
....
....
....
....
....
....
127.4
....
....
....
....
....
....
127.4
....
....
78.3
49.0
....

409.3
41.3
....
....
....
....
....
....
41.3
....
....
....
41.3
....
450.5
534.5
....
516.9
....
17.6
....
84.0
....
.4
.5
85.0
....

148.9
201.4
....
....
....
....
....
....
201.4
....
....
....
201.4
....
52.5
18.1
....
2.8
....
15.3
....
34.4
....
....
123.1
88.8
....

247.7
437.4
2.8
....
2.8
....
....
....
434.6
....
3.4
....
431.2
....
189.7
.8
....
91.0
....
91.8
....
190.4
....
115.5
....
306.0
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

899.5
....
....
....
....
....
....
....
....
899.5
....
....
899.5
15.1
27.4
472.8
414.3
....

407.6
....
....
....
....
....
....
....
....
407.6
....
....
407.6
267.2
28.7
320.1
383.3
....

945.4
76.6
....
76.6
....
145.6
....
69.0
....
1,022.0
....
....
1,022.0
....
655.7
305.2
61.1
....

290.5 1,403.9
349.1
370.2
....
....
349.1
370.2
....
....
328.1
399.2
....
....
21.0
29.0
....
....
58.6 1,774.2
....
....
....
454.1
58.6 1,320.0
....
451.2
188.0
252.4
369.8
1,226.2
499.2
104.9
....
....

963.0
....
....
....
....
....
....
....
....
963.0
....
....
963.0
163.0
106.7
979.6
286.3
....

934.8
....
....
....
....
....
....
....
....
934.8
....
....
934.8
172.1
367.0
1,194.6
65.0
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

334.6
....
18.5
....
353.1

272.9
....
....
....
272.8

412.5
....
.6
....
413.1

940.8
....
.1
....
940.8

1,134.4
64.0
453.1
....
617.2

680.3
64.0
1.2
....
615.1

646.7
42.3
16.9
....
621.3

NET ERRORS AND OMISSIONS.........................

....

63.6

10.4

37.9

373.8 1,711.2

251.4

677.2

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
367
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ghana

652
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
....
3,684.2 4,670.7 4,065.9 5,805.1 7,616.5
Direct investment............................................. 8A9999 A AA
....
....
....
67.2
55.5
71.8
212.1
Equity and investment fund shares................. 8AA000 A AA
....
....
....
67.2
55.5
71.8
154.8
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1.1
....
....

....
....
....
....
....
....
....
65.8
....
....
....
....
....
....
65.8
....
....
....
65.8
....
....
1,342.4
....
1,342.4
....
537.4
....
805.0
....
2,276.1
177.9
1.2
....
10.4

154.8
....
....
57.3
57.3
....
....
759.4
235.8
....
139.1
....
96.7
....
523.5
....
2.0
....
521.6
....
....
1,862.0
....
1,862.0
....
911.0
....
951.0
....
4,783.1
392.4
448.6
....
3,942.0

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
430.6
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7,813.5 11,766.7 14,820.5 18,941.4 22,860.4


3,001.5 4,384.6 7,099.6 8,523.5 10,012.6
1,500.7 2,106.5 3,535.8 4,526.7 5,183.9
1,500.7
2,106.5
3,535.8
4,526.7
5,183.9
....
....
....
....
....
....
....
....
....
....
1,500.8 2,278.2 3,563.8 3,996.7 4,828.7
1,500.8
2,278.2
3,563.8
3,996.7
4,828.7
....
....
....
....
....
....
....
....
....
....
....
750.0
750.0
908.5 1,150.4
....
....
....
701.0
832.3
....
....
....
....
....
....
....
....
407.7
423.7
....
....
....
....
....
....
....
....
293.3
408.6
....
....
....
....
....
....
750.0
750.0
207.6
318.0
....
....
....
....
....
....
....
....
11.4
8.2
....
750.0
750.0
....
....
....
....
....
196.2
309.9
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

67.2
....
....
....
....
....
....
439.1
....
....
....
....
....
....
439.1
....
....
....
439.1
....
....
1,381.0
....
1,381.0
....
658.1
....
722.9
....
2,783.4
236.3
.6
....
9.9

55.5
....
....
....
....
....
....
439.1
....
....
....
....
....
....
439.1
....
....
....
439.1
....
....
1,555.2
....
1,555.2
....
812.0
....
743.2
....
2,016.1
242.4
.4
....
1,773.2

71.8
....
....
....
....
....
....
613.1
130.8
....
130.8
....
....
....
482.3
....
2.0
....
480.3
....
....
1,820.5
....
1,820.5
....
1,099.9
....
720.6
....
3,299.7
308.1
455.4
....
2,536.2

_______________________________________________________________________________________________________________________________
368
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ghana

652
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: cedis per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
4,812.1
....
94.8
4,717.3
158.6
320.2
3,304.0
934.5
....

....
6,632.1
....
99.5
6,532.6
166.6
933.5
3,628.8
1,803.7
....

....
6,971.0
....
97.0
6,874.0
162.4
909.9
3,982.6
1,819.0
....

....

....

....

.9131

2010

2011

....
....
9,509.4 11,697.4
....
....
554.8
545.0
8,954.7 11,152.5
726.6
392.1
782.9
1,089.1
5,038.3
6,496.3
2,406.9
3,175.0
....
....

....
....
....
....
....
....
....
....
....
....

4,129.3 7,096.1 10,754.6 13,136.3 15,244.0

....

.9235

.9704

1.2141

2009

1.4186

1.4738

1.5505

_______________________________________________________________________________________________________________________________
369
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Greece

174
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
. . . . 18,233 29,565 44,587 51,313 35,913 30,274

28,583

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

22,126

33,847

46,709

55,492

37,570

30,392

29,320

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

8,615
4,722

8,587
4,305

9,053
6,931

10,189
6,010

7,328
5,670

6,053
5,935

6,116
5,379

B. Capital Account........................................... 20999F B AA

....

2,563

3,822

5,957

5,995

2,818

2,776

3,660

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

2,905
342

15,670

4,173
351

25,743

6,426
469

38,630

6,813
818

45,318

3,251
433

33,095

3,155
379

27,498

4,022
363

24,923

C. Financial Account......................................... 30999F N AA

....

15,633

25,661

38,027

44,243

35,095

14,120

11,577

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

1,508
1,454
55

4,234
4,263
29

5,261
5,162
99

3,206
3,158
48

2,440
2,452
11

1,697
1,692
5

1,818
1,767
50

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

690
1,012
322

5,409
5,665
256

1,958
3,402
1,445

5,733
6,205
472

2,763
2,895
133

534
718
184

1,092
1,079
13

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

23,194
2,189
21,004

9,374
2,923
6,452

21,636
593
21,043

144
4,030
3,886

4,146
951
3,195

17,061
1,551
18,612

6,846
89
6,757

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

32,308
6,293
26,015

18,738
7,529
11,208

45,545
10,865
34,680

24,891
5,260
30,151

43,145
764
42,382

43,932
1,459
42,473

33,421
354
33,067

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

13
13
....

920
920
....

623
623
....

661
661
....

1,151
1,151
....

431
431
....

985
985
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

8,740
....
8,740

7,336
....
7,336

22,118
....
22,118

40,679
....
40,679

32,753
....
32,753

10,272
....
10,272

9,939
....
9,939

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

16,064
....
16,064

21,539
....
21,539

40,161
....
40,161

603

58,021
....
58,021

1,074

29,678
....
29,678

31,451
....
31,451

29,924
....
29,924

D. Net Errors and Omissions............................. 40999S N AA

....

67

361

1,060

1,113

788

559

36

E. Reserves and Related Items.......................... 4Z999S N AA

....

104

279

457

39

1,213

13,936

13,310

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

104
....
....

279
....
....

457
....
....

39
....
....

1,213
....
....

201
13,735
....

44
13,266
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

17,469
51,705

20,130
64,164

23,752
80,678

28,866
93,758

21,062
63,919

22,410
59,962

27,954
65,838

34,236

44,033

56,926

64,893

42,857

37,552

37,884

34,053
14,913

35,901
16,757

43,289
20,603

50,727
25,312

38,046
20,244

37,667
20,374

40,168
19,624

15,096

24,889

34,240

39,477

25,054

20,259

17,339

4,072
11,102

4,566
13,524

6,345
18,814

8,427
24,442

5,933
18,449

5,320
15,453

4,618
16,599

37

83

2,000

13,378

13,346

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
370
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Greece

174
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 18,233 29,565 44,587 51,313 35,913 30,274
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 15,096 24,889 34,240 39,477 25,054 20,259
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

51,522
66,618
34,236
17,469
17,483
14
....
51,705
51,705
....
19,140
34,053
14,913
41
47
105
146
17,338

56,031
80,920
44,033
20,130
20,154
24
....
64,164
64,164
....
19,144
35,901
16,757
43
55
102
366
18,042

67,041
101,280
56,926
23,752
23,766
14
....
80,678
80,678
....
22,686
43,289
20,603
55
64
170
299
23,355

79,593
119,070
64,893
28,866
28,894
28
....
93,758
93,758
....
25,416
50,727
25,312
34
59
234
392
28,340

59,108
84,163
42,857
21,062
21,082
20
....
63,919
63,919
....
17,802
38,046
20,244
23
47
256
231
18,902

60,077
80,336
37,552
22,410
22,412
1
....
59,962
59,962
....
17,293
37,667
20,374
13
38
204
165
20,433

28,583
17,339
68,123
85,462
37,884
27,954
27,978
23
....
65,838
65,838
....
20,545
40,168
19,624
13
50
178
153
19,659

7,790

8,826

10,730

13,797

9,913

10,850

10,106

13,333
1,176
12,157
3,039
1,260
1,779
3,235
286
264
107
60
515
1,729
166
108
3,891
99
732
76
442
507
1,401
185
450

14,402
1,156
13,246
2,997
1,354
1,643
3,313
305
266
105
67
536
1,789
154
91
4,512
143
935
141
406
568
1,624
227
467

15,549
1,346
14,204
3,423
1,459
1,964
4,158
361
388
168
52
641
2,234
219
95
6,086
138
1,213
472
600
895
1,927
354
486

17,416
1,336
16,081
3,930
1,592
2,338
4,702
387
444
160
44
824
2,526
222
95
7,134
272
1,476
262
713
1,061
2,382
456
511

14,681
976
13,705
3,381
1,279
2,101
4,184
393
443
171
48
791
2,028
213
99
6,672
303
1,336
291
654
1,137
2,118
351
482

12,479
983
11,497
2,854
1,182
1,672
4,538
708
405
159
69
867
2,012
189
130
6,467
321
1,454
443
627
1,029
1,999
300
295

14,801
996
13,805
3,159
1,543
1,617
5,518
1,282
556
178
69
970
2,123
216
124
6,155
315
1,490
442
556
1,014
1,865
249
224

....
....
....
....
....
....
....
....
....
....
....

7,030
4,072
11,102
357
273
3,715
657
649
151
498
8

8,958
4,566
13,524
400
353
4,166
681
678
176
502
3

12,469
6,345
18,814
504
457
5,841
841
837
290
548
4

16,015
8,427
24,442
509
596
7,918
1,140
1,137
550
588
2

12,516
5,933
18,449
411
575
5,522
753
751
199
552
2

10,133
5,320
15,453
265
501
5,055
1,049
1,045
231
814
3

11,981
4,618
16,599
261
654
4,357
439
438
216
221
1

119
62
17,157

6
242
7,542

93
81
17,868

7
228
8,592

137
114
23,105

7
284
10,439

170
114
28,057

16
328
13,453

115
76
18,710

20
248
9,645

100
72
20,261
20
256
10,574

183
59
19,417
38
234
9,834

_______________________________________________________________________________________________________________________________
371
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Greece

174
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,719
53
....
....
1,666
1,340
....
1,340
....
....
....
....
10,829
1,697
1,597
726
871
100
6,766
728
....
....
6,038
2,366
....
2,366
....
....
....

1,839
51
....
....
1,788
1,646
....
1,646
....
....
....
....
13,171
1,569
1,510
632
878
60
8,203
998
....
....
7,204
3,399
....
3,399
....
....
....

2,657
81
....
....
2,576
2,343
....
2,343
....
....
....
....
18,357
1,973
1,880
922
959
92
10,943
1,618
....
....
9,324
5,442
....
5,442
....
....
....

3,004
128
....
....
2,876
3,775
....
3,775
....
....
....
....
23,846
2,632
2,511
1,482
1,029
121
13,256
1,491
....
....
11,766
7,958
....
7,958
....
....
....

2,882
38
....
....
2,844
1,887
....
1,887
....
....
....
....
17,874
683
584
1,095
511
100
12,466
738
....
....
11,728
4,725
....
4,725
....
....
....

2,663
43
....
....
2,620
1,343
....
1,343
....
....
....
....
14,952
891
963
1,297
2,260
72
11,322
642
....
....
10,681
4,521
....
4,521
....
....
....

2,656
59
....
....
2,597
1,262
....
1,262
....
....
....
....
15,945
2,133
2,218
788
3,006
85
10,441
492
....
....
9,949
7,637
....
7,637
....
....
....

....
....
....
....
....
....
....
....
....
....
....

3,893
8,615
5,811
2,804
863
1,941
4,722
3,660
1,063
630
433

4,282
8,587
5,591
2,996
1,143
1,853
4,305
3,087
1,218
629
589

2,122
9,053
5,966
3,087
1,980
1,107
6,931
5,296
1,636
1,003
633

4,180
10,189
6,944
3,245
2,178
1,067
6,010
3,940
2,070
1,316
754

1,657
7,328
4,759
2,568
1,609
959
5,670
3,705
1,965
1,268
697

118
6,053
4,105
1,948
1,234
713
5,935
3,821
2,113
1,431
682

737
6,116
4,473
1,643
925
719
5,379
3,444
1,935
1,287
648

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

2,563
26
80
2,879
2,672
10
2,663
207
262
28
9
19
233

3,822
48
49
4,124
3,917
9
3,908
207
302
40
13
27
262

5,957
51
19
6,375
6,050
12
6,038
325
450
37
9
28
413

5,995
314
67
6,499
6,247
11
6,236
251
750
298
12
285
453

2,818
147
28
3,104
2,980
6
2,974
124
406
20
6
14
385

2,776
61
44
3,094
3,000
4
2,995
94
334
21
5
16
313

3,660
90
77
3,932
3,835
3
3,832
97
286
18
5
12
268

FINANCIAL ACCOUNT........................................ 30999S N AA

....

15,737

25,382

37,571

44,205

33,883

28,056

24,887

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

818
1,508
1,454
955
953
3
....
498
55
50
4
....

1,175
4,234
4,263
3,762
3,756
6
....
502
29
29
....
....

3,303
5,261
5,162
4,615
4,612
3
....
546
99
94
5
....

2,527
3,206
3,158
2,570
2,569
2
....
588
48
38
10
....

322
2,440
2,452
1,900
1,899
1
....
552
11
15
3
....

1,164
1,697
1,692
878
877
....
....
814
5
3
2
....

726
1,818
1,767
1,546
1,543
3
....
221
50
35
15
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
372
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Greece

174
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

690
1,012
140
134
6
....
872
322
341
19
....

5,409
5,665
4,787
4,786
1
....
878
256
257
1
....

1,958
3,402
2,444
2,443
....
....
959
1,445
1,435
10
....

5,733
6,205
5,177
5,176
....
....
1,029
472
890
418
....

2,763
2,895
3,407
3,408
1
....
511
133
472
340
....

534
718
2,977
2,978
1
....
2,260
184
329
145
....

1,092
1,079
4,085
4,086
1
....
3,006
13
11
1
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

9,114
23,194
2,189
....
768
....
1,422
....
21,004
1,290
2,745
....
16,969
....
32,308
6,293
....
1,923
....
4,369
....
26,015
....
....
25,489
526
....

9,363
9,374
2,923
....
1,111
....
1,812
....
6,452
114
4,859
....
1,478
....
18,738
7,529
....
4,010
....
3,519
....
11,208
....
....
10,119
1,090
....

23,910
21,636
593
....
2,110
....
1,517
....
21,043
6,121
8,774
....
6,148
....
45,545
10,865
....
5,243
....
5,622
....
34,680
....
....
33,799
881
....

25,035
144
4,030
....
985
....
5,016
....
3,886
5,626
15,263
....
5,751
....
24,891
5,260
....
2,932
....
2,328
....
30,151
....
....
26,431
3,720
....

38,999
4,146
951
....
1,448
....
497
....
3,195
5,318
4,021
....
6,144
....
43,145
764
....
1,034
....
270
....
42,382
....
....
42,382
....
....

26,871
17,061
1,551
....
1,283
....
268
....
18,612
3,554
14,745
....
313
....
43,932
1,459
....
1,822
....
363
....
42,473
....
7,763
34,168
542
....

26,575
6,846
89
....
194
....
282
....
6,757
2,346
4,103
....
308
....
33,421
354
....
379
....
25
....
33,067
....
116
32,584
599
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

13
13
....

920
920
....

623
623
....

661
661
....

1,151
1,151
....

431
431
....

985
985
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7,324
8,740
....
8,740
295
7,358
....
1,087
....
16,064
....
....
16,064
1,434
17,833
516
2,686
....

14,202
7,336
....
7,336
11
7,514
....
166
....
21,539
....
....
21,539
1,058
20,019
728
267
....

18,043
22,118
....
22,118
1,100
22,653
....
565
....
40,161
....
....
40,161
3,716
40,386
3,132
809
....

17,343
40,679
....
40,679
525
43,229
....
2,025
....
58,021
....
....
58,021
33,932
26,088
1,336
663
....

3,075
32,753
....
32,753
119
31,817
....
816
....
29,678
....
1,060
28,617
19,324
2,902
3,179
9,571
....

55,459
10,272
....
10,272
65
23,241
....
12,903
....
45,187
....
....
45,187
49,695
42,725
38,411
194
....

53,129
9,939
....
9,939
111
17,614
....
7,563
....
43,190
....
....
43,190
25,716
34,898
54,377
2,005
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

104
484
4
222
370

279
277
1
47
50

457
454
3
47
53

39
320
3
76
354

1,213
10
1,060
101
41

201
2
127
....
72

44
10
87
112
78

NET ERRORS AND OMISSIONS.........................

....

67

361

1,060

1,113

788

559

36

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
373
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Greece

174
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 153,464 196,273 279,777 313,339 363,945 297,272
Direct investment............................................. 8A9999 A AA
....
13,602
22,418
31,650
37,232
39,454
42,623
Equity and investment fund shares................. 8AA000 A AA
....
13,056
21,898
30,578
35,725
40,332
40,556
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

13,056
....
....
546
546
....
....
69,979
8,326
488
2,612
....
5,226
....
61,652
10,479
15,330
....
35,843
....
659
66,937
....
66,937
3,217
41,338
....
22,382
....
2,287
1,780
29
168
309

21,898
....
....
520
520
....
....
88,496
13,356
545
4,687
....
8,123
....
75,140
11,911
21,597
....
41,632
....
13
82,497
....
82,497
3,569
55,184
....
23,744
....
2,850
2,284
29
128
408

30,578
....
....
1,072
1,072
....
....
127,849
20,602
605
10,495
....
9,502
....
107,247
19,842
33,721
....
53,683
....
740
115,880
....
115,880
2,779
87,288
....
25,812
....
3,658
3,027
28
85
518

35,725
....
....
1,507
1,507
....
....
122,770
16,005
572
11,612
....
3,820
....
106,766
15,136
50,128
....
41,502
....
1,350
148,487
....
148,487
2,140
123,934
....
22,413
....
3,500
3,156
24
161
159

40,332
....
....
879
879
....
....
129,748
14,321
592
6,212
....
7,517
....
115,427
21,600
62,925
....
30,901
....
2,551
186,645
....
186,645
2,358
161,794
....
22,493
....
5,547
3,992
1,088
268
199

40,556
....
....
2,067
2,067
....
....
95,991
12,900
653
4,929
....
7,317
....
83,092
20,889
41,903
....
20,300
....
1,864
150,425
....
150,425
1,558
115,361
....
33,506
....
6,368
5,059
938
263
108

273,533
43,698
41,292
41,292
....
....
2,405
2,405
....
....
82,706
12,236
633
4,912
....
6,692
....
70,470
18,096
33,606
....
18,767
....
2,722
137,507
....
137,507
1,612
93,606
....
42,289
....
6,899
5,650
849
370
30

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

329,616
29,189
26,967
26,967
....
....
2,223
2,223
....
....
202,113
37,963
....
14,104
....
23,858
....
164,151
....
32
158,287
5,831
....

431,078
41,288
38,592
38,592
....
....
2,696
2,696
....
....
255,983
60,247
....
25,290
....
34,957
....
195,735
....
1
188,257
7,477
....

595,668
53,221
49,655
49,655
....
....
3,565
3,565
....
....
348,059
93,548
....
40,830
....
52,717
....
254,512
....
1
244,983
9,527
....

562,875
38,119
34,150
34,150
....
....
3,969
3,969
....
....
290,836
23,893
....
8,558
....
15,335
....
266,943
....
1,809
253,014
12,120
....

663,610
42,097
39,130
39,130
....
....
2,968
2,968
....
....
343,677
28,115
....
12,585
....
15,530
....
315,562
....
1,873
304,838
8,851
....

590,627
35,026
30,850
30,850
....
....
4,176
4,176
....
....
213,793
17,106
....
4,462
....
12,644
....
196,687
....
....
188,960
7,727
....

507,063
29,170
23,175
23,175
....
....
5,995
5,995
....
....
105,629
7,480
....
706
....
6,774
....
98,149
....
....
94,865
3,284
....

_______________________________________________________________________________________________________________________________
374
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Greece

174
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
98,313
....
148
98,165
8,514
61,901
13,040
14,710
....

....
133,808
....
156
133,652
10,777
90,376
15,430
17,068
....

....
194,388
....
164
194,224
15,894
143,416
15,734
19,180
....

....
233,921
....
159
233,761
49,194
152,939
14,172
17,456
....

....
277,836
....
1,226
276,610
70,641
160,715
19,219
26,035
....

....
341,808
....
1,205
340,603
116,367
155,563
54,098
14,575
....

....
372,265
....
1,201
371,064
135,536
117,992
108,271
9,264
....

. . . . 176,152 234,805 315,891 249,536 299,665 293,355 233,530


....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
375
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Grenada

328
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
. . . . 193.26 226.70 264.27 274.45 188.40 221.04

217.18

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

275.57

268.97

290.50

311.61

228.13

252.92

244.20

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

87.59
5.29

54.95
12.68

40.58
14.35

51.63
14.48

54.90
15.18

46.35
14.46

43.70
16.69

B. Capital Account........................................... 20999F B AA

....

47.00

61.76

38.83

41.00

38.67

59.33

62.30

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

49.04
2.04

146.26

63.80
2.04

164.94

40.87
2.04

225.44

43.29
2.29

233.45

40.74
2.07

149.73

61.19
1.86

161.71

64.24
1.94

154.88

C. Financial Account......................................... 30999F N AA

....

143.74

165.89

227.93

216.85

186.32

122.93

157.41

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

70.16
49.61
20.54

89.79
67.33
22.46

156.55
124.31
32.25

142.24
123.08
19.16

102.56
82.75
19.80

60.20
42.28
17.93

41.44
21.96
19.49

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

.59
....
....

5.32
....
....

3.16
....
....

3.02
....
....

5.55
....
....

1.89
....
....

3.74
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

17.21
....
....

4.57
....
....

.59
....
....

2.76
....
....

1.43
....
....

3.74
....
....

11.67
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

228.44
....
228.44

17.79
....
17.79

14.35
....
14.35

14.28
....
14.28

22.86
....
22.86

19.63
....
19.63

55.96
....
55.96

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

284.22
....
284.22

94.64
....
94.64

88.29
....
88.29

89.15
....
89.15

99.65
....
99.65

80.51
....
80.51

164.00
....
164.00

D. Net Errors and Omissions............................. 40999S N AA

....

24.87

4.15

E. Reserves and Related Items.......................... 4Z999S N AA

....

27.40

5.10

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

27.40
....
....

5.75
.65
....

Conversion rates: Eastern Caribbean dollars


per U.S. dollar............................................... RFZ F B

....

2.7000

2.7000

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

32.86
299.96

32.29
297.09

40.73
327.89

40.47
338.76

35.29
262.88

30.31
284.42

36.36
296.33

267.10

264.80

287.16

298.30

227.58

254.10

259.98

116.01
96.20

130.02
105.31

148.21
108.50

149.32
113.38

138.92
98.10

137.77
93.84

147.83
95.67

247.29

240.09

247.45

262.35

186.77

210.17

207.82

11.43
39.72

13.26
42.14

13.66
56.71

8.08
57.34

8.20
49.55

6.83
49.58

7.09
43.47

2.53

.95

2.49

16.60

36.60

38.77

2.53

10.44

4.23

22.61

22.74

.69

12.93

12.37

13.99

16.03

1.84

10.69
2.23
....

6.72
5.65
....

23.70
9.70
....

9.63
6.40
....

1.60
.25
....

2.7000

2.7000

2.7000

2.7000

2.7000

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
376
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Grenada

328
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 193.26 226.70 264.27 274.45 188.40 221.04
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 247.29 240.09 247.45 262.35 186.77 210.17
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

148.87
396.16
267.10
32.86
32.86
....
....
299.96
299.96
....
19.81
116.01
96.20
....
....
....
....
11.28
....
....
....
48.78
....
....
....
71.41
....
....
10.04
....
....
33.31
....
13.64
....
....
9.30
9.07
....
1.30
37.38
4.08
12.67
....
.89
1.88
10.07
....
7.80

162.31
402.40
264.80
32.29
32.29
....
....
297.09
297.09
....
24.71
130.02
105.31
....
....
.01
....
11.59
....
....
....
49.60
....
....
....
93.80
....
....
15.52
....
....
24.61
....
3.60
....
.06
10.59
8.96
....
1.40
40.19
5.04
14.49
....
2.37
2.83
11.22
....
4.23

188.94
436.39
287.16
40.73
40.73
....
....
327.89
327.89
....
39.71
148.21
108.50
....
....
....
....
11.27
....
....
....
53.29
....
....
....
108.73
....
....
15.79
....
....
28.20
....
4.58
....
.06
11.12
10.99
....
1.45
39.42
4.27
14.97
....
2.53
3.00
10.50
....
4.14

189.79
452.14
298.30
40.47
40.47
....
....
338.76
338.76
....
35.95
149.32
113.38
....
....
....
....
10.41
....
....
....
54.68
....
....
....
108.58
....
....
11.06
....
....
30.33
....
5.39
....
.07
12.71
10.82
....
1.35
47.64
6.10
15.08
....
3.02
3.69
12.55
....
7.20

174.21
360.98
227.58
35.29
35.29
....
....
262.88
262.88
....
40.81
138.92
98.10
....
....
....
....
9.71
....
....
....
44.32
....
....
....
98.96
....
....
10.37
....
....
30.25
....
4.36
....
.07
13.38
10.91
....
1.52
43.41
4.26
13.59
....
3.49
2.73
12.63
....
6.71

168.08
378.26
254.10
30.31
30.31
....
....
284.42
284.42
....
43.93
137.77
93.84
....
....
....
....
10.45
....
....
....
46.01
....
....
....
96.88
....
....
10.49
....
....
30.44
....
4.44
....
.07
13.66
9.98
....
2.29
37.35
2.05
13.25
....
5.50
2.10
9.51
....
4.94

217.18
207.82
184.19
392.01
259.98
36.36
36.36
....
....
296.33
296.33
....
52.15
147.83
95.67
....
....
....
....
11.38
....
....
....
48.60
....
....
....
105.18
....
....
10.28
....
....
31.27
....
4.59
....
.07
13.88
10.40
....
2.33
36.79
1.68
13.12
....
5.73
2.19
8.98
....
5.09

....
....
....
....
....
....
....
....
....
....
....

28.28
11.43
39.72
.03
....
11.40
....
....
....
....
....

28.88
13.26
42.14
.81
....
12.44
.04
....
....
....
.04

43.05
13.66
56.71
.25
....
13.41
.03
....
....
....
.03

49.26
8.08
57.34
.19
....
7.89
.21
....
....
....
.21

41.35
8.20
49.55
.17
....
8.02
.26
....
....
....
.26

42.75
6.83
49.58
.17
....
6.66
.04
....
....
....
.04

36.38
7.09
43.47
.17
....
6.92
.04
....
....
....
.04

_______________________________________________________________________________________________________________________________
377
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Grenada

328
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.62
1.62
....
....
....
9.77
....
9.77
....
....
....
....
39.72
22.74
21.90
11.11
10.80
.84
.47
.47
....
....
....
16.50
....
16.50
....
....
....

3.09
3.09
....
....
....
9.31
....
9.31
....
....
....
....
42.14
22.05
20.32
7.85
12.47
1.73
.13
.13
....
....
....
19.97
....
19.97
....
....
....

4.27
4.27
....
....
....
9.11
....
9.11
....
....
....
....
56.71
35.68
32.86
17.36
15.50
2.81
.39
.39
....
....
....
20.64
....
20.64
....
....
....

1.95
1.95
....
....
....
5.73
....
5.73
....
....
....
....
57.34
35.48
33.66
21.56
12.10
1.82
.32
.32
....
....
....
21.54
....
21.54
....
....
....

2.57
2.57
....
....
....
5.20
....
5.20
....
....
....
....
49.55
30.49
27.57
22.32
5.25
2.92
.54
.54
....
....
....
18.52
....
18.52
....
....
....

2.04
2.04
....
....
....
4.59
....
4.59
....
....
....
....
49.58
30.78
27.50
22.54
4.96
3.28
.59
.59
....
....
....
18.21
....
18.21
....
....
....

2.10
2.10
....
....
....
4.78
....
4.78
....
....
....
....
43.47
24.36
20.94
15.78
5.16
3.42
1.50
1.50
....
....
....
17.61
....
17.61
....
....
....

....
....
....
....
....
....
....
....
....
....
....

82.31
87.59
35.14
52.45
26.80
25.65
5.29
3.86
1.42
1.42
....

42.27
54.95
21.67
33.28
27.63
5.65
12.68
4.48
8.19
1.48
6.71

26.23
40.58
8.01
32.56
28.38
4.19
14.35
3.03
11.32
1.60
9.72

37.16
51.63
19.74
31.89
28.66
3.23
14.48
3.43
11.05
1.80
9.26

39.73
54.90
26.86
28.04
27.48
.56
15.18
3.73
11.44
1.50
9.95

31.88
46.35
16.66
29.69
28.30
1.39
14.46
1.73
12.73
1.51
11.22

27.02
43.70
13.54
30.17
28.76
1.41
16.69
3.43
13.26
1.57
11.69

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

47.00
....
....
49.04
24.31
....
24.31
24.73
2.04
....
....
....
2.04

61.76
....
....
63.80
38.30
....
38.30
25.50
2.04
....
....
....
2.04

38.83
....
....
40.87
14.68
....
14.68
26.19
2.04
....
....
....
2.04

41.00
....
....
43.29
16.77
....
16.77
26.53
2.29
....
....
....
2.29

38.67
....
....
40.74
15.01
....
15.01
25.73
2.07
....
....
....
2.07

59.33
....
....
61.19
36.23
....
36.23
24.96
1.86
....
....
....
1.86

62.30
....
....
64.24
38.25
....
38.25
25.99
1.94
....
....
....
1.94

FINANCIAL ACCOUNT........................................ 30999S N AA

....

171.14

160.79

215.00

229.22

172.33

138.97

155.57

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

70.16
....
....
....
....
....
....
....
....
....
....
....

89.79
....
....
....
....
....
....
....
....
....
....
....

156.55
....
....
....
....
....
....
....
....
....
....
....

142.24
....
....
....
....
....
....
....
....
....
....
....

102.56
....
....
....
....
....
....
....
....
....
....
....

60.20
....
....
....
....
....
....
....
....
....
....
....

41.44
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
378
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Grenada

328
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

70.16
49.61
38.82
38.82
....
....
10.80
20.54
20.54
....
....

89.79
67.33
54.85
54.85
....
....
12.47
22.46
22.46
....
....

156.55
124.31
108.81
108.81
....
....
15.50
32.25
32.25
....
....

142.24
123.08
110.97
110.97
....
....
12.10
19.16
19.16
....
....

102.56
82.75
77.50
77.50
....
....
5.25
19.80
19.80
....
....

60.20
42.28
37.32
37.32
....
....
4.96
17.93
17.93
....
....

41.44
21.96
16.79
16.79
....
....
5.16
19.49
19.49
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

17.80
.59
....
....
....
....
....
....
....
....
....
....
....
....
17.21
....
....
....
....
....
....
....
....
....
....
....
....

.75
5.32
....
....
....
....
....
....
....
....
....
....
....
....
4.57
....
....
....
....
....
....
....
....
....
....
....
....

2.56
3.16
....
....
....
....
....
....
....
....
....
....
....
....
.59
....
....
....
....
....
....
....
....
....
....
....
....

.26
3.02
....
....
....
....
....
....
....
....
....
....
....
....
2.76
....
....
....
....
....
....
....
....
....
....
....
....

6.98
5.55
....
....
....
....
....
....
....
....
....
....
....
....
1.43
....
....
....
....
....
....
....
....
....
....
....
....

1.85
1.89
....
....
....
....
....
....
....
....
....
....
....
....
3.74
....
....
....
....
....
....
....
....
....
....
....
....

7.92
3.74
....
....
....
....
....
....
....
....
....
....
....
....
11.67
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

55.78
228.44
....
228.44
....
....
....
228.44
....
284.22
....
....
284.22
....
38.22
23.13
222.87
....

77.50
17.79
....
17.79
....
....
....
17.79
....
95.30
....
....
95.30
.65
46.34
19.16
29.15
....

71.70
14.35
....
14.35
....
....
....
14.35
....
86.05
....
....
86.05
2.23
16.52
21.48
50.29
....

80.52
14.28
....
14.28
....
....
....
14.28
....
94.80
....
....
94.80
5.65
51.70
6.05
31.40
....

86.50
22.86
....
22.86
....
4.59
....
18.27
....
109.35
....
16.00
93.36
9.70
....
17.73
65.92
....

67.28
19.63
....
19.63
....
....
....
19.63
....
86.91
....
....
86.91
6.40
5.70
5.69
69.12
....

107.80
55.96
....
55.96
....
....
....
55.96
....
163.76
....
....
163.76
.25
28.93
7.89
142.96
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

27.40
....
.01
....
27.41

5.75
....
.11
....
5.64

10.69
....
.06
....
10.75

6.72
....
1.15
....
7.87

23.70
....
15.37
....
8.33

9.63
....
....
....
9.62

1.60
....
.41
....
2.00

NET ERRORS AND OMISSIONS.........................

....

24.87

4.15

10.44

4.23

22.61

22.74

.69

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
379
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guatemala

258
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
51.8
678.2 1,528.9
. . . . 1,300.6 1,585.3 1,842.8 1,751.0
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

4,817.4

5,792.2

6,639.7

6,788.5

4,617.9

5,571.8

6,665.0

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

3,555.3
38.5

4,244.4
37.5

4,808.0
11.1

5,056.7
19.2

4,584.5
18.4

4,917.9
24.3

5,167.5
31.3

B. Capital Account........................................... 20999F B AA

....

....

142.2

....

1.1

1.0

2.7

2.6

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

142.2
....

....
....

1.1
....

1.0
....

2.7
....

2.6
....

C. Financial Account......................................... 30999F N AA

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

69.8
40.2
29.6

83.5
40.0
43.5

139.5
25.4
114.1

13.7
16.4
2.7

122.7
26.3
96.4

63.2
23.5
39.7

50.5
17.2
33.3

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

540.0
392.0
148.0

635.3
612.5
22.8

859.2
775.0
84.2

751.1
679.2
71.9

696.4
581.1
115.3

920.8
907.4
13.4

1,080.9
994.6
86.4

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

39.8
.4
39.4

59.8
....
59.8

16.7
.4
17.1

10.4
....
10.4

23.2
.4
23.6

45.8
....
45.8

85.6
4.2
81.4

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

106.0
....
106.0

131.3
....
131.3

245.0
....
245.0

118.3
....
118.3

281.4
....
281.4

27.6
....
27.6

342.3
....
342.3

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

434.5
....
434.5

508.9
....
508.9

597.5
....
597.5

2.4
....
2.4

260.6
....
260.6

131.5
....
131.5

575.4
....
575.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

721.8
....
721.8

1,193.2
....
1,193.2

1,657.3
....
1,657.3

667.0
....
667.0

15.6
....
15.6

19.7

682.2
....
682.2

922.4

1,944.4
....
1,944.4

D. Net Errors and Omissions............................. 40999S N AA

....

798.3

404.2

E. Reserves and Related Items.......................... 4Z999S N AA

....

109.4

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

Conversion rates: quetzales per U.S. dollar...... RFZ F B

....

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

5,459.5
9,650.1

6,082.1
10,934.4

6,983.2
12,470.2

7,846.4
13,421.2

7,294.9
10,643.1

8,535.7
12,806.4

10,517.3
15,481.9

4,190.6

4,852.3

5,487.0

5,574.8

3,348.2

4,270.7

4,964.5

1,307.8
1,449.6

1,518.9
1,778.4

1,731.2
2,041.2

1,872.9
2,149.0

1,925.0
2,083.6

2,291.4
2,381.1

2,358.7
2,504.0

4,332.4

5,111.8

5,797.0

5,850.9

3,506.8

4,360.4

5,109.9

301.5
786.5

434.6
1,115.0

556.0
1,398.7

544.5
1,482.1

352.1
1,463.2

280.7
1,492.1

303.1
1,858.2

1,300.6

1,443.1

1,842.8

1,749.9

611.7 1,045.0 1,551.2 1,273.3

688.9

398.1

50.8

675.5

1,526.2

70.5 1,597.9 1,971.6

291.6

476.6

445.4

479.8

405.9

547.2

257.7

359.1

81.7

114.3

70.6

277.4

563.3

41.2

238.0
....
128.6

250.7
....
169.0

214.9
....
100.6

332.1
....
261.5

470.6
....
193.2

676.9
....
113.6

206.0
....
164.8

7.6339

7.6026

7.6733

7.5600

8.1616

8.0578

7.7854

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
380
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guatemala

258
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
7.7
626.0 1,457.5
. . . . 1,241.0 1,524.0 1,785.6 1,680.5
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 4,332.4 5,111.8 5,797.0 5,850.9 3,506.8 4,360.4 5,109.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
6,767.3
7,601.0
8,714.4
9,719.3
9,219.9 10,827.1 12,876.0
. . . . 11,099.7 12,712.8 14,511.4 15,570.2 12,726.7 15,187.5 17,985.9
. . . . 4,190.6 4,852.3 5,487.0 5,574.8 3,348.2 4,270.7 4,964.5
....
5,459.5 6,082.1 6,983.2 7,846.4 7,294.9 8,535.7 10,517.3
....
5,459.5
6,082.1
6,983.2
7,846.4
7,294.9
8,535.7 10,517.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
9,650.1 10,934.4 12,470.2 13,421.2 10,643.1 12,806.4 15,481.9
....
9,650.1 10,934.4 12,470.2 13,421.2 10,643.1 12,806.4 15,481.9
....
....
....
....
....
....
....
....
....
141.8
259.5
310.0
276.1
158.6
89.7
145.4
....
1,307.8
1,518.9
1,731.2
1,872.9
1,925.0
2,291.4
2,358.7
....
1,449.6
1,778.4
2,041.2
2,149.0
2,083.6
2,381.1
2,504.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
154.5
170.7
191.4
255.7
258.4
288.9
338.3
.1
.4
....
.3
....
....
....
....
....
57.8
63.4
79.6
79.4
60.5
80.7
91.8
....
96.7
107.3
111.8
176.2
197.5
208.2
246.2
....
793.2
920.5 1,082.0 1,152.0
967.5 1,150.2 1,244.2
110.6
125.5
139.5
134.3
147.0
217.9
227.5
....
....
674.1
783.4
930.7
1,004.1
781.4
904.7
984.1
....
8.5
11.6
11.8
13.6
39.1
27.6
32.6
....
790.7
918.7 1,054.7 1,068.4 1,178.9 1,378.5 1,350.2
....
134.5
156.1
179.3
181.6
200.4
261.8
256.5
....
656.2
762.6
875.4
886.8
978.5
1,116.7
1,093.7
....
420.8
528.5
597.2
606.5
715.3
784.2
704.8
....
117.7
146.9
165.8
168.4
200.8
221.7
204.7
....
303.1
381.6
431.4
438.1
514.5
562.5
500.1
....
362.6
429.5
485.1
548.8
487.7
624.0
670.2
....
....
5.2
....
....
2.1
10.4
6.5
....
13.9
18.4
20.7
21.9
19.0
41.9
25.0
....
5.2
8.8
14.7
5.8
10.0
11.7
10.3
....
4.5
7.9
10.8
11.9
13.1
13.4
14.7
....
181.5
218.5
272.4
282.9
268.3
326.0
360.4
....
71.0
62.0
54.6
84.9
68.2
107.0
137.0
....
.1
....
....
....
....
14.2
.3
....
86.4
108.7
111.9
141.4
107.0
99.4
116.1
....
235.6
329.4
362.0
390.5
400.8
446.7
555.1
....
....
1.2
....
....
.4
.8
.3
....
124.6
181.8
201.8
203.9
198.0
192.1
278.6
....
6.0
10.0
8.2
11.0
3.1
13.7
17.8
....
49.4
60.2
72.1
62.2
86.2
93.9
104.8
....
13.1
32.4
32.7
35.2
36.3
46.6
50.9
....
21.6
16.7
18.7
40.3
48.8
72.0
73.8
....
.1
5.1
4.3
4.5
2.7
8.2
10.0
....
20.8
22.0
24.2
33.4
25.3
19.4
19.0
....
....
....
....
....
....
....
....
....
....
....

485.0
301.5
786.5
22.0
8.7
279.5
38.4
38.4
....
38.4
....

680.4
434.6
1,115.0
20.4
10.8
414.2
43.1
43.1
34.4
8.7
....

842.7
556.0
1,398.7
29.4
10.2
526.6
67.3
67.3
50.5
16.8
....

937.6 1,111.1 1,211.4 1,555.1


544.5
352.1
280.7
303.1
1,482.1
1,463.2
1,492.1
1,858.2
40.3
53.3
69.3
95.8
9.8
7.4
5.5
8.1
504.2
298.8
211.4
207.4
52.1
58.5
49.0
62.3
52.1
58.5
49.0
62.3
35.7
40.9
32.2
45.1
16.4
17.6
16.8
17.2
....
....
....
....

_______________________________________________________________________________________________________________________________
381
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guatemala

258
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7.5
2.5
....
....
5.0
233.6
....
233.6
....
....
....
....
777.8
370.1
368.6
3.4
372.0
1.5
109.2
....
....
....
109.2
298.5
....
298.5
....
....
....

11.4
3.1
....
....
8.3
359.7
....
359.7
....
....
....
....
1,104.2
607.6
603.2
77.4
525.8
4.4
107.5
....
....
....
107.5
389.1
....
389.1
....
....
....

11.1
....
....
....
11.1
448.2
....
448.2
....
....
....
....
1,388.5
819.2
813.3
298.6
514.7
5.9
104.4
....
....
....
104.4
464.9
....
464.9
....
....
....

2.5
....
....
....
2.5
449.6
....
449.6
....
....
....
....
1,472.3
886.0
882.0
400.2
481.8
4.0
87.4
....
....
....
87.4
498.9
....
498.9
....
....
....

11.8
....
....
....
11.8
228.5
....
228.5
....
....
....
....
1,455.8
950.9
946.8
459.3
487.5
4.1
97.4
....
....
....
97.4
407.5
....
407.5
....
....
....

1.4
....
....
....
1.4
161.0
....
161.0
....
....
....
....
1,486.6
1,001.2
1,000.9
358.0
642.9
.3
95.6
....
....
....
95.6
389.8
....
389.8
....
....
....

2.7
.1
....
....
2.6
142.4
....
142.4
....
....
....
....
1,850.1
1,343.3
1,343.2
574.9
768.3
.1
101.7
6.4
....
....
95.2
405.1
....
405.1
....
....
....

....
....
....
....
....
....
....
....
....
....
....

3,576.4
3,614.9
76.1
3,538.8
3,044.6
494.2
38.5
5.1
33.4
33.4
....

4,268.2
4,305.7
61.3
4,244.4
3,679.7
564.7
37.5
2.8
34.7
34.7
....

4,854.1
4,865.2
57.2
4,808.0
4,206.8
601.2
11.1
4.4
6.7
6.7
....

5,108.0
5,127.2
175.3
4,951.9
4,419.4
532.5
19.2
2.9
16.3
16.3
....

4,625.6
4,644.0
169.1
4,474.9
3,966.0
508.9
18.4
2.2
16.2
14.7
1.5

4,945.8
4,970.1
164.6
4,805.5
4,162.5
643.0
24.3
6.9
17.4
15.5
1.9

5,207.5
5,238.9
210.1
5,028.8
4,412.4
616.4
31.3
12.4
18.9
16.3
2.6

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

142.2
....
....
142.2
21.7
....
21.7
120.5
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

1.1
....
....
1.1
....
....
....
1.1
....
....
....
....
....

1.0
....
....
1.0
....
....
....
1.0
....
....
....
....
....

2.7
....
....
2.7
....
....
....
2.7
....
....
....
....
....

2.6
....
....
2.6
....
....
....
2.6
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

442.7

902.0 1,379.7 1,132.2

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

470.2
69.8
40.2
1.8
....
1.8
....
38.4
29.6
....
29.6
....

551.8
83.5
40.0
31.3
31.3
....
....
8.7
43.5
....
43.5
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

719.7
139.5
25.4
8.6
8.6
....
....
16.8
114.1
....
114.1
....

737.4
13.7
16.4
....
....
....
....
16.4
2.7
....
2.7
....

266.4

982.4 1,859.1

573.7
122.7
26.3
8.7
8.7
....
....
17.6
96.4
....
96.4
....

857.6 1,030.4
63.2
50.5
23.5
17.2
6.7
....
6.7
....
....
....
....
....
16.8
17.2
39.7
33.3
....
....
39.7
33.3
....
....

_______________________________________________________________________________________________________________________________
382
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guatemala

258
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

540.0
392.0
20.0
20.0
....
....
372.0
148.0
148.0
....
....

635.3
612.5
86.7
86.7
....
....
525.8
22.8
22.8
....
....

859.2
775.0
260.3
260.3
....
....
514.7
84.2
84.2
....
....

751.1
679.2
197.4
197.4
....
....
481.8
71.9
71.9
....
....

696.4
581.1
93.6
93.6
....
....
487.5
115.3
115.3
....
....

920.8
907.4
264.5
264.5
....
....
642.9
13.4
13.4
....
....

1,080.9
994.6
226.3
226.3
....
....
768.3
86.4
86.4
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

76.8
39.8
.4
....
....
....
.4
....
39.4
....
42.1
....
2.7
....
37.0
....
....
....
....
....
....
37.0
....
2.4
42.2
7.6
....

83.4
59.8
....
....
....
....
....
....
59.8
....
55.8
....
4.0
....
23.6
....
....
....
....
....
....
23.6
....
30.5
30.2
23.9
....

184.9
16.7
.4
....
....
....
.4
....
17.1
....
35.7
....
18.6
....
201.6
....
....
....
....
....
....
201.6
....
41.2
160.4
....
....

62.3
10.4
....
....
....
....
....
....
10.4
....
11.4
....
1.0
....
72.7
....
....
....
....
....
....
72.7
....
85.2
1.2
11.3
....

124.5
23.2
.4
....
....
....
.4
....
23.6
....
8.5
....
15.1
....
147.7
....
....
....
....
....
....
147.7
....
109.1
12.3
26.3
....

12.0
45.8
....
....
....
....
....
....
45.8
....
21.8
....
24.0
....
33.8
....
....
....
....
....
....
33.8
....
19.0
5.5
20.3
....

334.4
85.6
4.2
....
....
....
4.2
....
81.4
....
41.9
....
39.5
....
248.8
....
....
....
....
....
....
248.8
....
48.9
325.0
27.3
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

287.3
434.5
....
434.5
....
1.0
....
433.5
....
721.8
....
....
721.8
.5
191.2
43.5
574.6
....

684.3 1,059.8
508.9
597.5
....
....
508.9
597.5
.4
.2
250.6
167.6
....
....
257.9
430.1
....
....
1,193.2 1,657.3
....
....
....
....
1,193.2 1,657.3
1.2
.4
293.4
521.2
356.3
392.9
544.7
743.6
....
....

664.6
2.4
....
2.4
.4
3.1
....
1.1
....
667.0
....
....
667.0
2.7
178.3
121.8
726.2
....

245.0
260.6
....
260.6
2.0
36.4
....
226.2
....
15.6
....
270.6
255.0
.3
306.6
533.4
481.5
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

238.0
....
.8
....
238.8

250.7
....
1.2
....
251.9

214.9
....
1.5
....
216.4

332.1
....
.7
....
332.8

470.6
....
268.9
....
201.7

676.9
.3
1.1
....
677.7

206.0
.4
.2
....
206.6

NET ERRORS AND OMISSIONS.........................

....

798.3

479.8

405.9

547.2

257.7

359.1

404.2

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

813.7 1,369.1
131.5
575.4
....
....
131.5
575.4
....
1.6
.5
520.0
....
....
132.0
53.7
....
....
682.2 1,944.4
....
....
....
....
682.2 1,944.4
.6
.7
19.2
826.5
617.4
362.3
46.2
756.3
....
....

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
383
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guatemala

258
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
9,400.7 10,359.9 11,164.5 11,176.1 12,180.4 13,060.2 14,347.1
Direct investment............................................. 8A9999 A AA
....
792.8
877.6 1,010.2 1,034.6 1,105.1 1,178.4 1,254.8
Equity and investment fund shares................. 8AA000 A AA
....
250.3
293.4
315.6
331.9
358.3
381.7
398.9
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

250.3
....
....
542.5
....
542.5
....
163.8
....
....
....
....
....
....
163.8
....
101.2
....
62.6
....
....
4,667.0
....
4,667.0
153.9
359.8
....
4,153.3
....
3,777.1
113.2
6.5
....
3,657.4

293.4
....
....
584.3
....
584.3
....
223.5
....
....
....
....
....
....
223.5
....
156.9
....
66.6
....
....
5,203.5
....
5,203.5
154.5
626.7
....
4,422.3
....
4,055.3
140.3
5.6
....
3,909.3

315.6
....
....
694.6
....
694.6
....
205.0
....
....
....
....
....
....
205.0
....
121.2
....
83.8
....
....
5,634.7
....
5,634.7
154.7
750.8
....
4,729.2
....
4,314.6
184.6
4.3
....
4,125.7

331.9
....
....
702.6
....
702.6
....
215.5
....
....
....
....
....
....
215.5
....
132.7
....
82.8
....
....
5,273.2
....
5,273.2
155.0
815.3
....
4,302.9
....
4,652.9
191.0
3.5
....
4,458.4

358.3
....
....
746.9
....
746.9
....
192.3
....
....
....
....
....
....
192.3
....
124.1
....
68.2
....
....
5,674.5
....
5,674.5
153.0
851.7
....
4,669.8
....
5,208.5
244.9
273.3
....
4,690.3

381.7
....
....
796.7
....
796.7
....
238.0
....
....
....
....
....
....
238.0
....
146.5
....
91.5
....
....
5,694.1
....
5,694.1
153.0
852.2
....
4,688.8
....
5,949.7
312.9
267.4
....
5,369.4

398.9
....
....
855.9
....
855.9
....
323.6
....
....
....
....
....
....
323.6
....
188.4
....
135.2
....
....
6,584.9
....
6,584.9
154.6
1,373.8
....
5,056.5
....
6,183.8
348.9
266.4
....
5,568.5

. . . . 12,317.0 13,930.5 15,746.6 16,749.8 16,961.9 18,648.2 21,542.9


....
3,861.7 4,482.1 5,312.2 6,142.0 6,382.9 7,314.2 8,565.0
....
3,445.8 4,044.7 4,793.5 5,543.6 5,713.9 6,622.9 7,766.8
....
3,445.8
4,044.7
4,793.5
5,543.6
5,713.9
6,622.9
7,766.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
415.9
437.3
518.7
598.4
668.9
691.3
798.2
....
415.9
437.3
518.7
598.4
668.9
691.3
798.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,601.8 1,387.4 1,347.0 1,254.9 1,270.6 1,327.9 1,026.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,601.8 1,387.4 1,347.0 1,254.9 1,270.6 1,327.9 1,026.5
....
....
....
....
....
....
....
....
....
205.9
163.0
172.9
258.0
148.7
167.7
216.8
....
1,304.6
1,150.4
1,135.0
947.4
1,098.5
1,116.6
738.8
....
91.4
74.0
39.2
49.6
23.3
43.6
70.9
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
384
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guatemala

258
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: quetzales per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

....
....
....
....
....
....
....
....
....
....

....
6,853.5
....
39.6
6,814.0
49.2
1,162.1
2,402.5
3,200.2
....

....
8,061.1
....
41.6
8,019.4
50.2
1,488.1
2,923.6
3,557.6
....

....
9,087.4
....
43.7
9,043.7
52.5
1,940.0
3,195.0
3,856.1
....

....
9,352.9
....
42.6
9,310.3
48.1
1,921.5
3,330.3
4,010.4
....

....
....

2009

2010

2011

....
....
....
9,308.5 10,006.1 11,951.4
....
....
....
315.0
309.4
308.5
8,993.5 9,696.7 11,643.0
5.1
4.4
3.8
1,614.8
1,634.0
2,460.5
3,834.8
4,472.0
4,849.7
3,538.8
3,586.3
4,329.0
....
....
....

2,916.3 3,570.6 4,582.2 5,573.7 4,781.6 5,588.0 7,195.8


7.6103

7.6245

7.6308

7.7744

8.3471

8.0160

7.8066

_______________________________________________________________________________________________________________________________
385
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea

656
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
160.3
221.4
462.4
440.1
426.7
329.2 1,215.2
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

150.3

200.7

324.0

456.7

437.1

344.0

1,300.8

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

49.2
59.3

56.0
76.6

35.3
173.7

102.6
86.0

61.9
51.5

81.5
66.8

353.7
268.0

B. Capital Account........................................... 20999F B AA

....

20.6

27.4

106.5

34.8

16.4

16.9

138.9

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

13.0
7.6

44.6
17.2

187.5
81.0

40.9
6.1

16.4
....

19.3
2.4

143.1
4.2

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

842.8
739.5

1,032.6
950.6

1,203.2
1,206.4

1,342.0
1,364.2

1,049.7
1,054.5

1,471.2
1,398.5

1,428.4
2,097.1

82.9
288.1

63.5
305.4

48.7
306.3

102.9
446.2

72.2
336.3

62.4
402.0

77.4
576.1

103.3

81.9

3.2

22.2

4.8

72.7

668.8

101.9

159.9

260.9

365.5

268.8

266.9

1,167.5

3.2
51.6

1.4
42.2

61.0
124.1

9.9
101.1

22.2
190.4

14.9
92.0

22.2
155.6

139.8

193.9

355.9

405.4

410.3

312.3

1,076.2

....

90.7

239.2

457.8

436.5

515.9

313.4

839.5

....
....
....

105.0
105.0
....

125.0
125.0
....

385.9
385.9
....

307.6
304.2
3.4

49.8
49.8
....

101.4
101.4
....

58.8
57.9
.9

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

10.7
10.7
....

....
....
....

....
....
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

22.4
....
22.4

8.3
....
8.3

....
....
....

....
....
....

.1
....
.1

211.6
....
211.6

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

89.7
....
89.7

37.4
....
37.4

33.2
....
33.2

44.1
....
44.1

56.1
....
56.1

77.4
....
77.4

186.5
....
186.5

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

75.4
....
75.4

49.0

54.4
....
54.4

30.4
....
30.4

162.4
....
162.4

409.9
....
409.9

289.5
....
289.5

755.6
....
755.6

D. Net Errors and Omissions............................. 40999S N AA

....

120.2

37.2

88.3

16.2

48.6

38.7

40.1

E. Reserves and Related Items.......................... 4Z999S N AA

....

71.2

82.4

190.2

15.0

154.1

39.8

276.8

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

16.5
25.7
61.9

15.0
19.5
77.9

8.7
10.4
188.6

10.6
8.0
12.4

223.5
12.9
82.2

35.5
10.2
65.1

626.6
6.1
909.5

Conversion rates: Guinean francs per U.S.


dollar............................................................. RFZ F B

....

3,644.3

5,148.8

4,197.8

4,601.7

4,801.1

5,726.1

6,658.0

45.2

101.9

31.2

105.6

1.1

236.7

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
386
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea

656
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
160.3
221.4
454.6
438.2
403.4
326.9 1,161.4
GOODS AND SERVICES..................................... 1Z9999 B XN
....
101.9
159.9
260.9
365.5
268.8
266.9 1,167.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

925.7
1,027.6
103.3
842.8
669.4
....
173.4
739.5
739.5
....
205.2
82.9
288.1
....
9.7
....
....
12.0

....
....
....
....
....
....
....
....
....
....
....

5.6
6.0
.5

1,096.1
1,256.0
81.9
1,032.6
667.0
....
365.6
950.6
950.6
....
241.9
63.5
305.4
....
5.4
....
....
7.1
....

2.3
4.8

107.0

116.6

....
....
....
28.8
5.9
23.0
70.9
20.2
1.2
....
.3
.7
.3
.4
47.9
142.5
7.7
8.8
....
.9
7.5
43.6
.2
73.7
48.4
3.2
51.6
....
2.0
3.2
1.5
1.5
1.5
....
....

8.6
66.5
32.0

1,251.9
1,512.8
3.2
1,203.2
1,070.4
....
132.8
1,206.4
1,206.4
....
257.6
48.7
306.3
....
11.2
....
....
6.0

.9
2.0
3.1

1,444.9
1,810.4
22.2
1,342.0
1,342.0
....
....
1,364.2
1,364.2
....
343.3
102.9
446.2
....
.6
....
1.3
11.6

.9
6.1
4.6

1,122.0
1,390.8
4.8
1,049.7
377.0
....
672.7
1,054.5
1,054.5
....
264.1
72.2
336.3
....
5.6
....
....
14.9

2.1
6.1
6.7

1,533.6
1,800.5
72.7
1,471.2
1,471.2
....
....
1,398.5
1,398.5
....
339.6
62.4
402.0
....
6.4
....
....
3.8
....

1,505.7
2,673.2
668.8
1,428.4
1,425.8
....
2.5
2,097.1
2,097.1
....
498.7
77.4
576.1
....
4.1
....
....
4.6
....

2.3
1.6

2.7
1.9

96.5

267.0

105.5

227.8

287.9

....
....
....
28.0
.7
27.3
56.5
25.1
2.4
....
....
....
3.3
....
25.7
155.4
6.9
30.2
....
.2
4.9
46.3
.1
66.9

.2
.1
.1
29.0
.8
28.2
42.6
13.6
.4
....
.1
10.7
12.1
1.1
4.6
169.7
46.4
14.6
....
....
24.2
35.8
.9
47.8

1.5
.1
1.4
9.2
1.1
8.1
89.8
40.5
.4
....
.1
12.0
26.3
2.4
8.1
168.1
31.1
15.2
....
.4
25.9
49.6
....
45.9

2.8
.2
2.6
13.1
1.5
11.6
54.5
15.6
5.9
....
....
15.6
8.2
4.0
5.4
212.1
18.2
26.1
....
.2
15.9
109.1
....
42.8

2.0
.1
1.9
7.5
2.5
5.0
56.5
6.7
9.6
....
....
32.7
.8
5.1
1.6
160.2
5.8
27.5
....
1.2
13.4
97.6
....
14.7

2.1
.2
1.9
33.1
4.3
28.8
70.7
14.2
8.2
....
....
32.7
5.5
3.3
6.8
251.0
10.5
42.2
....
.8
12.2
138.9
....
46.5

40.8
1.4
42.2
....
2.9
1.4
....
....
....
....
....

63.2
61.0
124.1
....
4.6
61.0
.1
....
....
....
.1

91.2
9.9
101.1
1.8
19.6
8.1
.1
.1
.1
....
....

168.2
22.2
190.4
1.5
14.2
20.7
2.2
2.2
2.2
....
....

77.1
14.9
92.0
1.4
8.9
13.5
2.0
2.0
2.0
....
....

133.4
22.2
155.6
1.0
6.7
21.2
.2
.2
.2
....
....

12.9
48.5
55.2

66.5
26.5
3.4

21.2
107.2
138.6

14.5
66.6
24.4

8.5
184.3
35.0

16.1
241.1
30.7

_______________________________________________________________________________________________________________________________
387
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea

656
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
1.7
....
1.7
....
....
....
....
49.6
....
....
....
....
....
....
....
....
....
....
49.6
....
49.6
....
....
....

....
....
....
....
....
1.4
....
1.4
....
....
....
....
39.4
....
....
....
....
....
....
....
....
....
....
39.4
....
39.4
....
....
....

....
....
....
....
....
60.9
....
60.9
....
....
....
....
119.6
54.0
54.0
54.0
....
....
....
....
....
....
....
65.6
....
65.6
....
....
....

2.4
2.4
....
....
....
5.6
....
5.6
....
....
....
....
81.5
14.2
12.4
1.7
10.7
1.8
47.8
5.8
....
....
42.0
19.5
....
19.5
....
....
....

3.9
3.9
....
....
....
14.6
....
14.6
....
....
....
....
176.3
87.6
78.7
78.7
....
8.9
56.9
5.0
....
....
51.9
31.8
....
31.8
....
....
....

....
....
....
....
....
11.6
....
11.6
....
....
....
....
83.2
.3
.3
.3
....
....
54.7
2.7
....
....
52.0
28.3
....
28.3
....
....
....

.1
.1
....
....
....
21.0
....
21.0
....
....
....
....
149.0
25.9
25.9
25.9
....
....
115.5
....
....
....
115.5
7.5
....
7.5
....
....
....

....
....
....
....
....
....
....
....
....
....
....

10.1
49.2
7.6
41.6
41.6
.1
59.3
....
59.2
57.8
1.4

20.6
56.0
26.5
29.5
29.5
....
76.6
26.9
49.8
48.7
1.0

130.6
43.1
7.8
35.3
15.1
20.3
173.7
.4
173.3
34.4
138.9

18.5
104.5
1.9
102.6
59.8
42.8
86.0
.4
85.6
35.9
49.7

33.7
85.3
23.4
61.9
50.5
11.4
51.5
.3
51.3
30.7
20.6

17.1
83.8
2.3
81.5
44.8
36.7
66.8
.1
66.6
32.1
34.5

139.5
407.5
53.8
353.7
63.5
290.2
268.0
.3
267.7
32.2
235.5

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

20.6
....
....
13.0
13.0
....
13.0
....
7.6
....
....
....
7.6

27.4
....
....
44.6
20.0
....
20.0
24.6
17.2
....
....
....
17.2

106.5
....
....
187.5
51.8
16.2
35.7
135.7
81.0
....
....
....
81.0

34.8
....
....
40.9
30.6
....
30.6
10.3
6.1
....
....
....
6.1

39.5
....
....
39.5
27.9
23.1
4.7
11.7
....
....
....
....
....

47.3
....
....
49.7
35.6
30.4
5.2
14.1
2.4
....
....
....
2.4

139.7
....
....
143.8
130.0
.8
129.3
13.8
4.2
....
....
....
4.2

FINANCIAL ACCOUNT........................................ 30999S N AA

....

19.6

156.8

259.7

419.6

315.3

240.9 1,061.8

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

105.0
105.0
105.0
105.0
....
105.0
....
....
....
....
....
....

125.0
125.0
125.0
125.0
....
125.0
....
....
....
....
....
....

385.9
385.9
385.9
385.9
....
385.9
....
....
....
....
....
....

318.2
307.6
304.2
304.2
63.6
367.9
....
....
3.4
....
3.4
....

140.9
49.8
49.8
49.8
....
49.8
....
....
....
....
....
....

101.4
101.4
101.4
101.4
....
101.4
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

955.2
58.8
57.9
57.9
.8
58.7
....
....
.9
....
.9
....

_______________________________________________________________________________________________________________________________
388
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea

656
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

10.7
10.7
....
....
....
....
10.7
....
....
....
....

91.0
91.0
91.0
91.0
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

896.5
896.5
896.4
896.4
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

22.4
22.4
....
....
....
....
....
....
22.4
22.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

129.8
8.3
....
....
....
....
....
....
8.3
8.3
....
....
....
....
138.1
....
....
....
....
....
....
138.1
....
....
138.1
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.3
.1
....
....
....
....
....
....
.1
.1
....
....
....
....
1.4
....
....
....
....
....
....
1.4
....
....
....
1.4
....

211.6
211.6
....
....
....
....
....
....
211.6
211.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

101.9
89.7
....
89.7
5.4
84.3
....
....
....
12.3
....
....
12.3
47.4
25.9
35.6
96.5
....

5.6
37.4
....
37.4
9.5
27.9
....
....
....
43.0
....
....
43.0
14.7
1.8
30.1
....
....

5.1
33.2
....
33.2
6.6
39.8
....
....
....
38.3
....
....
38.3
79.5
.4
29.9
11.0
....

112.0
44.1
....
44.1
2.5
23.8
....
65.4
....
156.1
....
....
156.1
56.6
6.6
44.5
48.4
....

397.9
56.1
....
56.1
.8
63.0
....
6.1
....
341.8
....
132.5
209.3
13.0
4.5
3.3
230.1
....

102.7
77.4
....
77.4
9.1
62.2
....
24.3
....
180.1
....
....
180.1
10.0
22.5
58.1
225.8
....

521.5
186.5
....
186.5
23.8
113.7
....
49.1
....
708.1
....
....
708.1
3.0
109.0
20.0
576.1
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

16.5
1.9
.2
....
18.6

15.0
18.6
.1
....
33.5

8.7
1.8
12.0
....
22.5

10.6
7.1
9.6
....
27.3

223.5
1.7
125.9
....
95.9

35.5
1.5
10.3
....
23.7

626.6
....
22.0
....
648.6

NET ERRORS AND OMISSIONS.........................

....

120.2

37.2

88.3

16.2

48.6

38.7

40.1

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
389
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea

656
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
....
....
....
338.0
508.9
548.5
Direct investment............................................. 8A9999 A AA
....
....
....
....
143.6
143.6
143.6
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
62.5
62.5
62.5
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.1
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.1
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
12.2
.1
....

62.5
....
....
81.1
81.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
149.6
....
149.6
27.5
100.9
....
21.2
....
44.8
5.4
2.4
.1
36.9

62.5
....
....
81.1
81.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
93.5
....
93.5
28.3
37.9
....
27.3
....
271.9
7.1
128.9
.1
135.8

62.5
....
....
81.1
81.1
....
....
.1
....
....
....
....
....
....
.1
....
....
....
.1
....
....
170.9
....
170.9
19.2
100.1
....
51.6
....
234.0
5.6
116.2
.1
112.1

1,151.6
145.0
63.3
63.3
....
....
81.8
81.8
....
....
.1
....
....
....
....
....
....
.1
....
....
....
.1
....
....
357.4
....
357.4
42.9
213.8
....
100.7
....
649.1
5.6
94.3
.1
549.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

686.3
243.9
243.9
243.9
....
....
....
....
....
....
42.9
42.9
....
....
....
42.9
....
....
....
....
....
....
....

970.1
384.7
384.7
384.7
....
....
....
....
....
....
42.9
42.9
....
....
....
42.9
....
....
....
....
....
....
....

1,108.6
486.1
486.1
486.1
....
....
....
....
....
....
44.3
42.9
....
....
....
42.9
....
1.4
....
....
....
1.4
....

2,213.2
1,442.2
1,441.3
1,441.3
....
....
.9
.9
....
....
44.3
42.9
....
....
....
42.9
....
1.4
....
....
....
1.4
....

_______________________________________________________________________________________________________________________________
390
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea

656
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Guinean francs per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
399.5
....
27.1
372.4
76.5
2.5
241.3
52.1
....

....
542.5
....
160.6
381.9
66.2
.7
238.1
76.9
....

....
578.3
....
157.8
420.5
55.0
23.2
180.0
162.4
....

....
726.7
....
157.3
569.4
58.0
132.2
216.9
162.4
....

....

....

....

....

348.3

461.2

560.1 1,061.6

....

4,500.0

5,650.0

4,181.7

5,161.0

4,924.4

6,083.9

7,089.5

_______________________________________________________________________________________________________________________________
391
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea-Bissau

654
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
45.55
74.15
66.10
92.86 113.57
99.46

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

61.69

97.89

105.60

126.76

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

25.07
8.93

32.46
8.72

43.71
4.22

B. Capital Account........................................... 20999F B AA

....

36.07

22.39

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

36.07
....

9.48

22.39
....

51.76

45.16

60.57

C. Financial Account......................................... 30999F N AA

....

8.78

5.17

8.97

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

.70
....
.70

.67
.10
.56

.21
.02
.19

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

8.69
5.92
2.77

17.89
17.89
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

4.55
2.09
6.64

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

89.62
105.93

74.14
127.05

107.04
167.90

128.13
198.79

2009

121.64
202.32

126.60
196.57

....
....
....

16.31

52.91

60.87

70.66

80.68

69.97

5.17
41.74

3.43
39.58

33.39
68.23

43.78
85.19

33.12
86.87

44.00
102.56

....
....
....

52.88

89.06

95.70

112.06

134.43

128.53

.44
9.26

.29
9.13

.44
10.34

.18
14.88

8.64
19.75

145.54

13.20
15.51

130.84

....
....
....

50.37
16.46

52.24
20.28

50.87
19.49

....
....

20.94

32.28

65.83

63.76

....

20.94
....

32.29
....

65.83
....

47.74

63.76
....

35.69

....
....
....

55.52

12.11

907.92

....

.66
....
.66

18.90
18.27
.62

26.24
26.27
.03

....
....
....

18.77
18.77
....

6.63
5.14
1.49

1.35
.06
1.41

1.47
....
1.47

....
....
....

.97
1.34
.37

5.22
1.04
6.26

8.37
....
8.37

19.14
....
19.14

8.27
8.30
.03

....
....
....

....
....
....

....
....
....

.21
.21
....

....
....
....

.21
.21
....

2.66
2.66
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

4.33
....
4.33

6.66
....
6.66

5.02
....
5.02

28.18
....
28.18

3.70
....
3.70

24.10
....
24.10

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

16.55
....
16.55

16.69
....
16.69

17.50
....
17.50

24.93
....
24.93

10.22
....
10.22

905.93
....
905.93

943.62

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

4.57

1.20

5.69

7.59

7.58

2.54

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

22.83

55.73

48.45

123.67

43.21

946.16

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

18.41
3.16
44.40

6.27
3.82
53.28

20.71
3.32
72.48

18.75
3.73
138.70

38.84
1.15
80.89

.95
6.14
951.35

....
....
....

Conversion rates: CFA francs per U.S. dollar.... RFZ F B

....

527.47

522.89

479.27

447.81

472.19

495.28

471.87

18.26

56.93

54.13

116.09

35.63

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
392
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea-Bissau

654
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
10.48
40.08
30.63
28.76
47.59
70.77
GOODS AND SERVICES..................................... 1Z9999 B XN
....
52.88
89.06
95.70 112.06 134.43 128.53
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

94.79
147.66
16.31
89.62
89.62
....
....
105.93
105.93
....
36.57
5.17
41.74
....
....
....
....
.49
....
....
25.44

77.57
166.62
52.91
74.14
74.14
....
....
127.05
127.05
....
36.15
3.43
39.58
....
....
....
....
....
....
....
....
22.52

....
1.62
.12
1.49
9.80
1.00
8.79
3.06
....
....
....
....
....
2.52
....
.54
6.50
.05
1.74
.01
....
4.46
.23
....
....

....
2.80
2.79
.01
15.54
9.35
6.19
.63
....
....
.15
....
....
.48
....
....
1.52
....
1.10
.07
....
.17
.18
....
....

28.39
1.21
27.18
40.21
12.67
27.54
4.93
....
....
1.43
....
.04
3.46
....
....
4.02
.02
1.23
.10
....
2.20
.46
....
....

....
38.21
7.99
30.21
45.58
10.85
34.72
5.50
....
....
.28
....
.10
5.12
....
....
7.52
.12
4.07
.08
....
2.72
.53
....
....

....
....
....
....
....
....
....
....
....
....
....

8.82
.44
9.26
.30
.27
.14
....
....
....
....
....

8.83
.29
9.13
....
.31
.29
.10
.10
....
.10
....

9.90
.44
10.34
....
.16
.44
.08
.08
.10
.02
....

14.70
.18
14.88
....
.32
.18
....
....
....
....
....

.49

9.07
16.37

2.34
20.17

....
11.98
1.33
10.65
25.74
3.19
22.55
21.14
....
....
2.90
....
12.14
4.83
....
1.27
30.74
.04
4.12
.21
....
6.61
17.43
....
2.33

.08
27.43
.44

13.28
2.48
10.79
29.45
4.75
24.70
30.42
....
....
4.53
....
19.13
5.23
....
1.52
45.16
.08
4.69
.19
....
7.03
21.02
10.10
2.06

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

11.11
8.64
19.75
....
.12
8.64
3.10
3.10
3.10
....
....

2.31
13.20
15.51
1.98
.24
11.22
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

140.43
236.13
60.87
107.04
107.04
....
....
167.90
167.90
....
34.83
33.39
68.23
....
....
....
....
.07
....
....

171.91
283.97
70.66
128.13
128.13
....
....
198.79
198.79
....
41.40
43.78
85.19
....
....
....
....
.07
....
....

23.99

32.09

154.76
289.19
80.68
121.64
121.64
....
....
202.32
202.32
....
53.75
33.12
86.87
....
....
....
....
....
....
....
....
30.39

.07

.45
23.52
.03

.07

.48
31.61

2011

.32
30.07

170.60
299.13
69.97
126.60
126.60
....
....
196.57
196.57
....
58.56
44.00
102.56
....
....
....
....
.31

.31

....
....
27.95

_______________________________________________________________________________________________________________________________
393
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea-Bissau

654
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
.14
....
.14
....
....
....
....
8.99
....
....
....
....
....
.43
.30
....
....
.13
8.55
....
8.55
....
....
....

....
....
....
....
....
.19
....
.19
....
....
....
....
8.82
....
....
....
....
....
.41
.41
....
....
....
8.41
....
8.41
....
....
....

.20
....
....
....
.20
.32
....
.32
....
....
....
....
10.18
....
....
....
....
....
.20
.10
....
....
.10
9.98
....
9.98
....
....
....

.10
....
....
....
.10
.08
....
.08
....
....
....
....
14.56
.26
.22
.22
....
.04
.01
....
....
....
.01
14.29
....
14.29
....
....
....

.51
....
....
....
.51
5.03
....
5.03
....
....
....
....
19.63
5.59
5.59
5.59
....
....
2.21
1.66
....
....
.55
11.83
....
11.83
....
....
....

5.90
3.43
....
....
2.47
5.32
....
5.32
....
....
....
....
15.27
5.65
5.65
5.65
....
....
8.10
5.70
....
....
2.41
1.52
....
1.52
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

51.21
60.14
35.06
25.07
19.60
5.48
8.93
....
8.93
5.08
3.84

57.82
66.54
34.08
32.46
25.52
6.94
8.72
....
8.72
4.02
4.71

74.97
79.19
35.47
43.71
43.03
.68
4.22
....
4.22
4.17
.05

98.00
114.46
64.09
50.37
49.46
.91
16.46
....
16.46
16.43
.04

97.95
118.23
65.98
52.24
48.85
3.39
20.28
....
20.28
20.07
.21

60.07
79.56
28.69
50.87
43.91
6.96
19.49
....
19.49
19.41
.08

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

45.40
....
....
45.40
41.60
9.33
32.27
3.79
....
....
....
....
....

32.20
....
....
32.20
29.33
9.81
19.52
2.87
....
....
....
....
....

32.11
....
....
32.11
32.03
11.17
20.87
.08
....
....
....
....
....

36.77
....
....
36.77
36.77
4.49
32.29
....
....
....
....
....
....

70.46
....
....
70.46
68.39
68.39
....
2.06
....
....
....
....
....

980.42
....
....
980.42
980.42
978.44
1.98
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

30.35

6.68

7.16

.42

15.29

907.11

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

8.00
.70
....
....
....
....
....
....
.70
.70
....
....

17.22
.67
.10
....
....
....
....
.10
.56
.40
.16
....

18.56
.21
.02
....
....
....
....
.02
.19
.19
....
....

5.97
.66
....
....
....
....
....
....
.66
.66
....
....

17.55
18.90
18.27
18.27
.88
17.39
....
....
.62
.62
....
....

27.71
26.24
26.27
26.27
....
26.27
....
....
.03
.03
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
394
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea-Bissau

654
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

8.69
5.92
5.92
5.92
....
....
....
2.77
2.77
....
....

17.89
17.89
17.89
17.89
....
....
....
....
....
....
....

18.77
18.77
18.77
18.77
....
....
....
....
....
....
....

6.63
5.14
5.14
5.14
....
....
....
1.49
....
1.49
....

1.35
.06
.06
.06
....
....
....
1.41
....
1.41
....

1.47
....
....
....
....
....
....
1.47
1.17
.30
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4.55
4.55
2.09
....
....
....
2.09
....
6.64
....
6.64
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.97
.97
1.34
....
....
....
1.34
....
.37
....
.37
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5.01
5.22
1.04
....
....
....
1.04
....
6.26
....
6.26
....
....
....
.21
.21
....
.21
....
....
....
....
....
....
....
....
....

.56
8.37
....
....
....
....
....
....
8.37
....
8.93
....
.56
....
8.93
....
....
....
....
....
....
8.93
....
8.93
....
....
....

5.75
19.14
....
....
....
....
....
....
19.14
....
19.12
....
.03
....
13.40
.21
....
.21
....
....
....
13.61
....
13.61
....
....
....

5.61
8.27
8.30
....
8.08
....
.22
....
.03
....
....
....
.03
....
2.66
2.66
....
2.56
....
.10
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

15.39
4.33
....
4.33
....
7.23
....
2.90
....
19.71
....
....
19.71
1.90
4.52
23.77
1.44
....

17.78
6.66
....
6.66
....
6.51
....
.16
....
11.12
....
....
11.12
2.15
2.77
7.29
1.09
....

....
5.02
....
5.02
....
3.00
....
8.02
....
5.01
....
....
5.01
2.30
.34
2.44
4.54
....

11.80
28.18
....
28.18
....
24.47
....
3.71
....
39.98
....
....
39.98
1.78
11.41
31.90
5.11
....

11.75
3.70
....
3.70
....
3.62
....
.08
....
8.05
....
19.37
11.32
.10
9.24
2.22
.04
....

930.16
24.10
....
24.10
....
18.40
....
5.70
....
906.06
....
....
906.06
6.69
3.34
913.83
11.13
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

18.41
....
.06
....
18.47

6.27
....
.09
....
6.18

20.71
....
.46
.02
21.14

18.75
....
.03
.06
18.66

38.84
....
18.49
.06
20.28

.95
....
.78
.05
1.78

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

4.57

1.20

5.69

7.59

7.58

2.54

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
395
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea-Bissau

654
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
95.68
103.56
142.63
179.44
200.91
210.94
Direct investment............................................. 8A9999 A AA
....
.66
1.34
1.70
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
.03
....
....
....
....
....
....
.03
....
.03
....
....
....
....
32.28
....
32.28
18.40
13.62
....
.26
....
168.59
....
18.64
.15
149.80

....
....
....
....
....
....
....
.22
....
....
....
....
....
....
.22
....
.22
....
....
....
....
54.29
....
54.29
....
48.26
....
6.03
....
156.43
....
19.09
.20
137.15

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
19.02
.32
....

. . . . 1,177.36 1,323.62 1,643.29 1,302.53 1,350.76


....
5.93
25.42
170.96
97.59
119.22
....
5.93
25.42
170.96
97.59
119.22
....
5.93
25.42
170.96
97.59
119.22
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1.17
2.72
3.26
9.22
.79
....
1.17
2.72
3.26
.73
.79
....
....
....
....
....
....
....
1.17
2.72
3.26
.73
.79
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
8.49
....
....
....
....
....
....
....
....
....
....
....
8.49
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

345.64
138.57
137.09
137.09
....
....
1.48
1.21
.27
....
2.68
2.68
....
2.58
....
.10
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
.66
.66
....
....
6.29
....
....
....
....
....
....
6.29
....
6.29
....
....
....
....
9.21
....
9.21
....
6.53
....
2.67
....
79.52
....
.57
....
78.95

....
....
....
1.34
1.34
....
....
7.03
....
....
....
....
....
....
7.03
....
7.03
....
....
....
....
14.08
....
14.08
.02
13.87
....
.23
....
81.11
....
.50
....
80.60

....
....
....
1.70
1.70
....
....
14.59
....
....
....
....
....
....
14.59
....
14.59
....
....
....
....
13.43
....
13.43
.03
10.85
....
2.61
....
112.91
....
.05
.02
112.83

....
....
....
....
....
....
....
12.84
3.36
....
3.36
....
....
....
9.48
....
9.48
....
....
....
....
42.04
....
42.04
5.50
35.38
....
1.15
....
124.56
....
.08
.08
124.40

_______________________________________________________________________________________________________________________________
396
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guinea-Bissau

654

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: CFA francs per U.S. dollar.... AEZ F B

....

2009

2010

2011

....
....
....
....
....
....
. . . . 1,170.26 1,295.49 1,469.08 1,195.72 1,230.75
....
....
....
....
....
....
....
1.73
1.82
1.92
1.87
21.33
. . . . 1,168.53 1,293.66 1,467.16 1,193.85 1,209.42
....
13.24
12.84
11.82
22.87
14.86
....
3.49
....
6.97
25.21
24.84
. . . . 1,150.44 1,278.19 1,444.71 1,145.35 1,168.72
....
1.36
2.63
3.66
.42
.99
....
....
....
....
....
....

....
204.39
....
20.95
183.43
5.12
6.15
160.82
11.35
....

....
....
....
....
....
....
....
....
....
....

. . . . 1,081.69 1,220.06 1,500.67 1,123.10 1,149.85

134.70

....

490.91

506.96

....

2005

556.04

2006

498.07

2007

445.59

2008

471.34

455.34

_______________________________________________________________________________________________________________________________
397
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guyana

336
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
96.3
180.6
112.3
191.6
165.3
159.7

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

263.5

396.9

399.1

520.4

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

261.9
94.6

310.9
94.6

423.8
137.0

B. Capital Account........................................... 20999F B AA

....

52.1

319.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

52.1
....

44.2

319.3
....

138.7

314.3

152.9

C. Financial Account......................................... 30999F N AA

....

126.7

52.4

235.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

76.8
17.9
58.9

102.4
23.8
78.6

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

34.1
....
34.1

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

545.6
717.1

579.6
809.8

2009

689.3
977.6

789.0
1,183.4

768.2
1,096.8

884.5
1,299.3

....
....
....

211.9
323.1

170.3
272.4

248.0
343.8

....
....
....

171.4

230.2

288.3

147.9
200.9

147.6
245.4

172.9
272.5

394.4

328.7

414.9

224.5

327.9

387.9

505.6

430.8

510.7

3.3
42.3

2.8
71.8

27.2
38.3

34.3
49.1

14.9
49.0

464.9

23.3
43.0

530.4

....
....
....

470.0
141.2

471.7
172.1

555.5
184.8

....
....

426.6

38.7

37.2

27.1

....

426.6
....

38.7
....

37.2
....

128.1

27.1
....

132.6

....
....
....

268.3

446.3

355.7

....

....
....
....

....
....
....

....
....
....

....
....
....

152.4
8.1
144.3

168.0
21.0
147.0

208.0
61.2
146.8

269.6
83.7
185.9

....
....
....

5.5
....
5.5

95.3
....
95.3

2.7
....
2.7

19.9
....
19.9

11.9
....
11.9

....
....
....

17.3
....
17.3

1.4
....
1.4

.2
....
.2

9.3
....
9.3

12.7
....
12.7

9.0
....
9.0

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

66.7
....
66.7

82.5

150.7
....
150.7

293.0
....
293.0

78.6

93.7
....
93.7

115.4

205.7
....
205.7

89.1
....
89.1

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

68.2

52.9

81.6

56.8

44.0

68.6

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

14.3

33.3

3.1

58.6

274.2

154.5

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

24.9
10.5
....

25.3
38.2
30.2

35.6
....
38.7

58.6
....
....

274.2
....
....

153.1
1.4
....

....
....
....

Conversion rates: Guyana dollars per U.S.


dollar............................................................. RFZ F B

....

199.88

200.19

202.35

203.63

203.95

203.64

204.02

86.3

318.2

223.1

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
398
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guyana

336
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
96.3
180.6
112.3
191.6
165.3
159.7
GOODS AND SERVICES..................................... 1Z9999 B XN
....
224.5
327.9
387.9
505.6
430.8
510.7
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

71.6

80.6

85.5

116.8

82.6

....
35.1
....
35.1
39.6
....
39.6
105.2
....
7.0
....
35.4
33.7
29.0
....
....
89.7
....
20.7
....
19.4
23.2
26.4
....
....

....
37.1
....
37.1
49.0
....
49.0
102.5
....
7.4
....
37.2
35.4
22.5
....
....
115.8
....
21.8
....
20.4
24.5
49.1
....
....

....
50.5
....
50.5
57.5
....
57.5
113.7
....
7.8
....
40.5
37.2
28.2
....
....
129.5
....
22.8
....
21.4
25.9
59.4
....
....

....
59.2
....
59.2
52.4
....
52.4
143.3
....
8.1
....
42.6
39.2
53.4
....
....
153.9
....
24.0
....
22.5
27.0
80.3
....
....

....
35.0
....
35.0
52.4
....
52.4
125.4
....
8.5
10.3
44.7
41.3
20.5
....
....
137.5
....
17.0
5.7
23.0
28.5
63.3
....
....

....
80.5
....
80.5
73.4
....
73.4
153.8
....
9.8
17.3
46.9
51.2
28.5
....
....
165.1
....
23.0
8.1
28.0
36.1
69.9
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

39.0
3.3
42.3
....
5.9
3.3
....
....
....
....
....

69.0
2.8
71.8
....
6.0
2.8
....
....
....
....
....

11.2
27.2
38.3
4.2
7.5
23.0
....
....
....
....
....

14.8
34.3
49.1
4.5
8.1
29.8
....
....
....
....
....

34.1
14.9
49.0
4.9
7.6
10.0
....
....
....
....
....

19.7
23.3
43.0
5.3
8.3
18.0
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

693.5
918.0
171.4
545.6
545.6
....
....
717.1
717.1
....
53.0
147.9
200.9
....
....
....
....
7.6
....

727.2
1,055.2
230.2
579.6
579.6
....
....
809.8
809.8
....
97.8
147.6
245.4
....
....
....
....
8.1
....

862.2
1,250.1
288.3
689.3
689.3
....
....
977.6
977.6
....
99.6
172.9
272.5
....
....
....
....
8.7
....

1,000.9
1,506.5
394.4
789.0
789.0
....
....
1,183.4
1,183.4
....
111.2
211.9
323.1
....
....
....
....
9.4
....

938.5
1,369.3
328.7
768.2
768.2
....
....
1,096.8
1,096.8
....
102.1
170.3
272.4
....
....
....
....
9.9
....

1,132.5
1,643.2
414.9
884.5
884.5
....
....
1,299.3
1,299.3
....
95.8
248.0
343.8
....
....
....
....
13.8
....

....
71.6
....

....
80.6
....

....
85.5
....

....
116.8
....

....
82.6
....

....
105.4
....

....
....
....
....
....
....
....
....
....
....
....

7.6

8.1

8.7

9.4

9.9

13.8

105.4

_______________________________________________________________________________________________________________________________
399
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guyana

336
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
3.3
....
3.3
....
....
....
....
36.4
6.9
6.9
....
6.9
....
....
....
....
....
....
29.5
....
29.5
....
....
....

....
....
....
....
....
2.8
....
2.8
....
....
....
....
65.8
9.2
9.2
....
9.2
....
....
....
....
....
....
56.6
....
56.6
....
....
....

....
....
....
....
....
23.0
....
23.0
....
....
....
....
30.8
7.2
7.2
....
7.2
....
....
....
....
....
....
38.0
....
38.0
....
....
....

....
....
....
....
....
29.8
....
29.8
....
....
....
....
41.0
.4
.4
....
.4
....
....
....
....
....
....
40.6
....
40.6
....
....
....

....
....
....
....
....
10.0
....
10.0
....
....
....
....
41.4
17.2
17.2
....
17.2
....
....
....
....
....
....
24.2
....
24.2
....
....
....

....
....
....
....
....
18.0
....
18.0
....
....
....
....
34.8
12.0
12.0
....
12.0
....
....
....
....
....
....
22.8
....
22.8
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

167.2
261.9
....
261.9
201.3
60.6
94.6
....
94.6
48.9
45.7

216.3
310.9
....
310.9
218.1
92.8
94.6
....
94.6
42.4
52.2

286.8
423.8
....
423.8
278.5
145.3
137.0
....
137.0
54.1
82.9

328.8
470.0
....
470.0
273.9
196.1
141.2
....
141.2
68.6
72.6

299.6
471.7
....
471.7
262.1
209.6
172.1
....
172.1
82.9
89.2

370.8
555.5
....
555.5
367.8
187.7
184.8
....
184.8
125.1
59.6

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

52.1
....
....
52.1
....
....
....
52.1
....
....
....
....
....

349.5
....
....
349.5
251.0
251.0
....
98.5
....
....
....
....
....

465.3
....
....
465.3
356.5
356.5
....
108.8
....
....
....
....
....

38.7
....
....
38.7
....
....
....
38.7
....
....
....
....
....

37.2
....
....
37.2
....
....
....
37.2
....
....
....
....
....

27.1
....
....
27.1
....
....
....
27.1
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

112.4

115.9

271.3

209.7

172.1

201.2

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

76.8
....
....
....
....
....
....
....
....
....
....
....

102.4
....
....
....
....
....
....
....
....
....
....
....

152.4
....
....
....
....
....
....
....
....
....
....
....

168.0
....
....
....
....
....
....
....
....
....
....
....

208.0
....
....
....
....
....
....
....
....
....
....
....

269.6
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
400
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Guyana

336
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

76.8
17.9
11.0
11.0
....
....
6.9
58.9
58.9
....
....

102.4
23.8
14.6
14.6
....
....
9.2
78.6
78.6
....
....

152.4
8.1
15.3
15.3
....
....
7.2
144.3
144.3
....
....

168.0
21.0
20.6
20.6
....
....
.4
147.0
147.0
....
....

208.0
61.2
44.0
44.0
....
....
17.2
146.8
146.8
....
....

269.6
83.7
71.7
71.7
....
....
12.0
185.9
185.9
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

16.8
34.1
....
....
....
....
....
....
34.1
....
34.1
....
....
....
17.3
....
....
....
....
....
....
17.3
....
17.3
....
....
....

4.1
5.5
....
....
....
....
....
....
5.5
....
5.5
....
....
....
1.4
....
....
....
....
....
....
1.4
....
1.4
....
....
....

95.1
95.3
....
....
....
....
....
....
95.3
....
95.3
....
....
....
.2
....
....
....
....
....
....
.2
....
.2
....
....
....

6.6
2.7
....
....
....
....
....
....
2.7
....
2.7
....
....
....
9.3
....
....
....
....
....
....
9.3
....
9.3
....
....
....

32.6
19.9
....
....
....
....
....
....
19.9
....
19.9
....
....
....
12.7
....
....
....
....
....
....
12.7
....
12.7
....
....
....

2.9
11.9
....
....
....
....
....
....
11.9
....
11.9
....
....
....
9.0
....
....
....
....
....
....
9.0
....
9.0
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

77.2
....
....
....
....
....
....
....
....
77.2
....
....
77.2
10.5
....
66.7
....
....

188.9
....
....
....
....
....
....
....
....
188.9
....
....
188.9
38.2
....
150.7
....
....

293.0
....
....
....
....
....
....
....
....
293.0
....
....
293.0
....
....
293.0
....
....

93.7
....
....
....
....
....
....
....
....
93.7
....
....
93.7
....
....
93.7
....
....

205.7
....
....
....
....
....
....
....
....
205.7
....
113.3
92.4
....
....
92.4
....
....

87.7
....
....
....
....
....
....
....
....
87.7
....
....
87.7
1.4
....
89.1
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

24.9
....
6.2
....
31.0

25.3
....
.6
....
24.8

35.6
....
1.2
....
36.8

58.6
....
.4
....
59.1

274.2
....
2.7
....
271.4

153.1
....
1.8
....
154.9

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

68.2

52.9

81.6

56.8

44.0

68.6

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
401
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Haiti

263
Table 1. ANALYTIC PRESENTATION, FISCAL YEARS 20052011 ENDING SEPTEMBER 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
356.4
458.5
477.4
762.6
620.8 1,955.8 1,784.8
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

459.6
1,308.5

848.9

1,053.0

1,182.1

1,617.5

1,481.1

2,246.7

2,245.9

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

145.5
544.4

193.9
593.4

257.1
680.3

342.8
746.1

378.9
772.1

239.0
1,277.3

249.2
1,140.2

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,282.8

1,445.8

1,603.1

2,015.3

1,861.6

3,262.6

3,095.9

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

986.2
59.7

1,062.9
75.5

1,222.1
96.4

1,369.8
117.1

1,375.5
134.8

1,473.8
167.0

1,551.4
240.2

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

658.0

170.0

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

356.4

....
....

458.5

....
....

477.4

....
....

762.6

....
....

620.8

658.0
....

1,297.8

170.0
....

1,614.8

C. Financial Account......................................... 30999F N AA

....

15.0

140.3

142.8

308.9

490.6

780.3

134.4

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

26.0
26.0
....

160.6
160.6
....

74.5
74.5
....

29.8
29.8
....

38.0
38.0
....

150.0
150.0
....

181.0
181.0
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

51.6
....
51.6

55.1
....
55.1

5.1
....
5.1

89.9
....
89.9

56.5
....
56.5

334.7
....
334.7

85.6
....
85.6

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

40.6
....
40.6

34.8
....
34.8

73.3
....
73.3

369.0
....
369.0

585.1
....
585.1

595.6
....
595.6

229.8
....
229.8

D. Net Errors and Omissions............................. 40999S N AA

....

10.8

40.9

144.0

E. Reserves and Related Items.......................... 4Z999S N AA

....

330.6

277.3

190.7

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

21.8
11.1
341.4

108.2
10.4
375.2

208.4
20.9
378.2

163.3
51.2
496.6

238.3
57.0
1,309.4

846.8
141.1
2,608.3

208.9
13.1
2,009.9

Conversion rates: gourdes per U.S. dollar........ RFZ F B

....

38.984

41.449

37.400

38.267

40.683

40.310

40.290

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

495.2
1,548.2

522.1
1,704.2

490.2
2,107.7

551.0
2,032.1

563.4
2,810.1

768.1
3,014.0

1,247.8

1,452.5

1,605.3

2,020.9

1,874.4

3,284.9

3,136.9

....
35.0

20.8
14.2

21.8
19.6

28.0
22.5

31.1
18.3

32.7
10.4

44.2
3.2

341.4

318.2

334.6

453.7

1,111.5

2,078.2

1,749.2

69.3

16.6

457.8

64.9

384.4 1,128.1 1,620.4 1,814.1

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
402
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Haiti

263
Table 2. STANDARD PRESENTATION, FISCAL YEARS 20052011 ENDING SEPTEMBER 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
7.0
85.0
85.8
289.1
226.3
165.8
338.8
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,247.8 1,452.5 1,605.3 2,020.9 1,874.4 3,284.9 3,136.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

605.1
689.1
779.2
833.0
929.9
802.4
1,017.3
1,852.9
2,141.6
2,384.5
2,853.8
2,804.2
4,087.3
4,154.2
848.9 1,053.0 1,182.1 1,617.5 1,481.1 2,246.7 2,245.9
459.6
495.2
522.1
490.2
551.0
563.4
768.1
459.6
495.2
522.1
490.2
551.0
563.4
768.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,308.5 1,548.2 1,704.2 2,107.7 2,032.1 2,810.1 3,014.0
1,308.5
1,548.2
1,704.2
2,107.7
2,032.1
2,810.1
3,014.0
....
....
....
....
....
....
....
398.9
399.4
423.1
403.3
393.2 1,038.3
891.0
145.5
193.9
257.1
342.8
378.9
239.0
249.2
544.4
593.4
680.3
746.1
772.1
1,277.3
1,140.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
217.3
299.6
402.9
478.0
522.6
579.9
622.9

118.6
98.8

183.1
116.5

274.6
128.3

319.4
158.7

369.6
153.0

368.4
211.5

396.1
226.9

....
79.5
....
79.5
55.4
....
55.4
65.9
....
....
....
4.5
9.3
....
....
52.2
271.7
....
....
5.8
.4
19.6
....
229.6
16.3

....
125.9
....
125.9
55.6
....
55.6
68.0
....
....
....
3.7
9.9
....
....
54.4
238.1
....
....
6.3
.5
9.0
....
203.2
19.1

....
189.9
....
189.9
56.5
....
56.5
67.2
....
....
....
3.4
9.4
....
....
54.4
220.9
....
....
7.0
.4
11.9
....
12.6
189.0

....
275.6
....
275.6
63.8
....
63.8
67.1
....
....
....
3.3
9.4
....
....
54.4
204.4
....
....
6.9
.4
12.0
....
31.2
153.9

....
311.6
....
311.6
62.6
....
62.6
67.3
....
....
....
3.4
9.5
....
....
54.4
186.9
....
....
6.1
.4
12.0
....
35.1
133.2

....
168.9
....
168.9
63.3
....
63.3
70.1
....
....
....
2.5
16.6
....
....
51.1
634.1
....
....
.3
.5
12.0
....
60.2
561.1

....
161.9
....
161.9
61.7
....
61.7
87.2
....
....
....
6.6
24.2
....
....
56.5
455.6
....
....
.4
.5
11.7
....
35.6
407.4

35.0
....
35.0
....
....
....
....
....
....
....
....

6.6
20.8
14.2
....
....
20.8
....
....
....
....
....

2.2
21.8
19.6
....
....
21.8
....
....
....
....
....

5.5
28.0
22.5
....
....
28.0
....
....
....
....
....

12.8
31.1
18.3
....
....
31.1
....
....
....
....
....

22.3
32.7
10.4
....
....
32.7
....
....
....
....
....

41.0
44.2
3.2
....
....
44.2
....
....
....
....
....

_______________________________________________________________________________________________________________________________
403
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Haiti

263
Table 2 (Continued). STANDARD PRESENTATION, FISCAL YEARS 20052011 ENDING SEPTEMBER 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
35.0
....
....
....
....
....
....
....
....
....
....
35.0
....
35.0
....
....
....

....
....
....
....
....
20.8
....
20.8
....
....
....
....
14.2
....
....
....
....
....
....
....
....
....
....
14.2
....
14.2
....
....
....

....
....
....
....
....
21.8
....
21.8
....
....
....
....
19.6
....
....
....
....
....
....
....
....
....
....
19.6
....
19.6
....
....
....

....
....
....
....
....
28.0
....
28.0
....
....
....
....
22.5
....
....
....
....
....
....
....
....
....
....
22.5
....
22.5
....
....
....

....
....
....
....
....
31.1
....
31.1
....
....
....
....
18.3
....
....
....
....
....
....
....
....
....
....
18.3
....
18.3
....
....
....

....
....
....
....
....
32.7
....
32.7
....
....
....
....
10.4
....
....
....
....
....
....
....
....
....
....
10.4
....
10.4
....
....
....

....
....
....
....
....
44.2
....
44.2
....
....
....
....
3.2
....
....
....
....
....
....
....
....
....
....
3.2
....
3.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,289.9
1,349.6
363.4
986.2
986.2
....
59.7
....
59.7
59.7
....

1,360.8
1,436.3
373.5
1,062.9
1,062.9
....
75.5
....
75.5
75.5
....

1,517.3
1,613.7
391.6
1,222.1
1,222.1
....
96.4
....
96.4
96.4
....

1,726.2
1,843.3
473.5
1,369.8
1,369.8
....
117.1
....
117.1
117.1
....

1,635.2
1,770.0
394.5
1,375.5
1,375.5
....
134.8
....
134.8
134.8
....

3,096.8
3,263.8
1,790.0
1,473.8
1,473.8
....
167.0
....
167.0
167.0
....

2,757.1
2,997.4
1,446.0
1,551.4
1,551.4
....
240.2
....
240.2
240.2
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

21.0
....
....
21.0
21.0
21.0
....
....
....
....
....
....
....

18.7
....
....
18.7
18.7
18.7
....
....
....
....
....
....
....

911.3
....
....
911.3
911.3
911.3
....
....
....
....
....
....
....

1,474.0
....
....
1,474.0
1,474.0
816.0
658.0
....
....
....
....
....
....

730.9
....
....
730.9
730.9
560.9
170.0
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

17.8

44.2

79.2

201.1

668.4

1,766.0

327.2

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

26.0
....
....
....
....
....
....
....
....
....
....
....

160.6
....
....
....
....
....
....
....
....
....
....
....

74.5
....
....
....
....
....
....
....
....
....
....
....

29.8
....
....
....
....
....
....
....
....
....
....
....

38.0
....
....
....
....
....
....
....
....
....
....
....

150.0
....
....
....
....
....
....
....
....
....
....
....

181.0
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
404
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Haiti

263
Table 2 (Concluded). STANDARD PRESENTATION, FISCAL YEARS 20052011 ENDING SEPTEMBER 30
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

26.0
26.0
26.0
26.0
....
....
....
....
....
....
....

160.6
160.6
160.6
160.6
....
....
....
....
....
....
....

74.5
74.5
74.5
74.5
....
....
....
....
....
....
....

29.8
29.8
29.8
29.8
....
....
....
....
....
....
....

38.0
38.0
38.0
38.0
....
....
....
....
....
....
....

150.0
150.0
150.0
150.0
....
....
....
....
....
....
....

181.0
181.0
181.0
181.0
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

22.0
51.6
....
51.6
....
57.6
....
6.0
....
29.6
....
....
29.6
12.9
13.2
29.9
....
....

8.2
55.1
....
55.1
.1
75.1
....
19.8
....
46.9
....
....
46.9
14.0
8.4
41.3
....
....

54.7
5.1
....
5.1
.1
4.1
....
9.0
....
59.7
....
....
59.7
21.3
10.3
17.1
11.0
....

334.7
89.9
....
89.9
.3
161.2
....
71.0
....
424.6
....
....
424.6
101.7
19.5
288.4
15.0
....

468.0
56.5
....
56.5
18.9
58.4
....
17.0
....
524.5
....
101.2
625.7
77.3
1.8
703.2
2.0
....

1,069.2
334.7
....
334.7
16.5
313.2
....
38.0
....
734.5
....
....
734.5
198.9
6.0
527.5
14.0
....

299.3
85.6
....
85.6
2.4
54.2
....
29.0
....
213.7
....
....
213.7
59.5
28.8
218.4
26.0
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

21.8
.1
.7
....
22.5

108.2
.2
9.8
....
98.3

208.4
.2
2.9
....
211.1

163.3
.2
.2
....
163.4

238.3
.2
100.7
....
137.4

846.8
.4
.5
....
846.9

208.9
.4
.1
....
208.5

NET ERRORS AND OMISSIONS.........................

....

10.8

40.9

144.0

69.3

16.6

457.8

64.9

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
405
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Haiti

263
Table 3. INTERNATIONAL INVESTMENT POSITION (End-September stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
649.9 1,038.4 1,246.8 1,647.4 1,830.8 2,941.1
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
371.4
....
371.4
....
277.4
....
94.0
....
278.5
.6
.1
.1
277.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
651.5
....
651.5
....
352.5
....
299.0
....
386.9
.8
10.1
.1
375.9

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
651.0
....
651.0
....
348.0
....
303.0
....
595.8
1.0
7.6
.1
587.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
888.6
....
888.6
....
509.6
....
379.0
....
758.8
1.2
7.3
.1
750.2

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
813.2
....
813.2
....
451.2
....
362.0
....
1,017.6
1.3
109.6
.1
906.5

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,147.4
....
1,147.4
....
762.4
....
385.0
....
1,793.6
1.7
107.2
.1
1,684.6

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
107.5
.1
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,755.2
150.5
150.5
150.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,997.8
310.5
310.5
310.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,218.3
385.0
385.0
385.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,716.7
415.4
415.4
415.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,249.3
453.3
453.3
453.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,774.2
603.3
603.3
603.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
406
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Haiti

263
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-September stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: gourdes per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
1,604.7
....
19.6
1,585.2
99.7
35.7
1,337.8
112.0
....

....
1,687.4
....
20.6
1,666.8
109.2
27.3
1,419.3
111.0
....

....
1,833.3
....
21.6
1,811.7
123.8
24.8
1,541.0
122.0
....

....
2,301.4
....
21.1
2,280.3
231.4
57.1
1,884.7
107.0
....

....
1,796.0
....
123.1
1,672.9
312.6
55.3
1,196.0
109.0
....

....
1,170.9
....
120.9
1,050.0
102.7
61.3
794.0
92.0
....

....
....
....
....
....
....
....
....
....
....

....

1,105.3

959.5

971.5 1,069.3

418.5

1,166.8

....

....

43.000

37.591

36.784

42.019

39.882

40.977

39.818

_______________________________________________________________________________________________________________________________
407
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Honduras

268
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
304.3
403.9 1,116.1 1,781.6
515.5
954.8 1,503.2
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

2,199.5

2,854.2

3,787.4

4,761.1

3,154.5

3,715.3

4,561.6

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

2,042.4
147.3

2,588.8
138.4

2,825.2
154.0

3,049.5
69.9

2,697.0
57.9

2,818.0
57.5

3,139.5
81.1

B. Capital Account........................................... 20999F B AA

....

593.5

1,484.8

1,206.7

89.8

130.4

84.4

156.4

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

593.5
....

289.2

1,484.8
....

1,206.7
....

89.8
....

130.4
....

84.4
....

156.4
....

C. Financial Account......................................... 30999F N AA

....

689.4

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

.3
....
.3

49.1
....
49.1

40.8
....
40.8

115.5
....
115.5

33.9
....
33.9

6.3
....
6.3

34.9
....
34.9

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

601.1
536.6
64.5

717.6
623.5
94.1

966.9
724.5
242.4

1,045.8
884.8
161.0

488.6
511.2
22.6

792.5
542.6
249.9

1,042.6
958.3
84.3

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

23.1
11.7
11.4

20.9
1.8
22.7

22.4
.6
23.0

26.8
4.1
22.6

6.0
.4
5.6

15.0
2.4
17.4

3.4
1.2
2.2

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

50.0
....
50.0

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

12.3
....
12.3

84.4
....
84.4

29.2
....
29.2

17.6
....
17.6

77.6
....
77.6

88.3
....
88.3

4.8
....
4.8

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

99.4
....
99.4

978.6

167.2
....
167.2

422.5
....
422.5

434.6
....
434.6

176.9
....
176.9

375.7
....
375.7

526.4
....
526.4

D. Net Errors and Omissions............................. 40999S N AA

....

190.4

305.4

353.2

205.1

E. Reserves and Related Items.......................... 4Z999S N AA

....

788.2

1,674.8

1,034.4

130.9

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

346.4
11.5
430.3

282.1
140.8
1,251.9

108.5
....
1,143.0

77.8
....
53.1

Conversion rates: lempiras per U.S. dollar....... RFZ F B

....

18.8323

18.8952

18.8951

18.9038

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

1,900.3
4,468.3

2,109.5
5,218.9

2,546.2
6,707.2

2,875.3
8,161.8

2,317.3
5,698.8

2,762.2
6,659.2

3,913.6
8,297.2

2,567.9

3,109.3

4,161.0

5,286.5

3,381.4

3,896.9

4,383.6

1,771.3
929.2

1,827.7
1,035.8

1,838.0
1,069.2

2,196.3
1,213.7

1,860.8
1,103.9

2,111.5
1,331.9

2,333.6
1,556.5

1,725.8

2,317.4

3,392.2

4,303.9

2,624.4

3,117.4

3,606.5

145.1
618.7

198.2
735.0

257.2
652.4

148.1
605.3

73.9
603.9

54.6
652.5

64.4
1,019.6

1,080.9

90.6

1,691.7

899.2 1,297.1 1,355.7

1,980.2

1,387.6

336.0

385.0

870.4

1,346.7

479.2 1,247.8 1,535.4

94.2

377.4

188.7

502.7

192.2

149.2

408.6

569.5

39.5

346.8
....
61.7

590.9
1.6
23.0

67.6
4.8
33.0

18.8951

18.8951

18.8951

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
408
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Honduras

268
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
304.3
403.9 1,116.1 1,781.6
515.5
954.8 1,503.2
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,725.8 2,317.4 3,392.2 4,303.9 2,624.4 3,117.4 3,606.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
3,671.6
3,937.2
4,384.2
5,071.6
4,178.2
4,873.8
6,247.3
....
5,397.5
6,254.7
7,776.4
9,375.5
6,802.6
7,991.1
9,853.7
. . . . 2,567.9 3,109.3 4,161.0 5,286.5 3,381.4 3,896.9 4,383.6
....
1,900.3 2,109.5 2,546.2 2,875.3 2,317.3 2,762.2 3,913.6
....
1,834.8
2,028.9
2,475.0
2,824.1
2,251.3
2,677.8
3,819.8
....
2.3
.8
3.6
1.6
....
....
....
....
63.2
79.9
67.6
49.5
66.1
84.4
93.8
....
4,468.3 5,218.9 6,707.2 8,161.8 5,698.8 6,659.2 8,297.2
....
4,468.3
5,218.9
6,707.2
8,161.8
5,698.8
6,659.2
8,297.2
....
....
....
....
....
....
....
....
....
842.1
791.9
768.8
982.6
757.0
779.6
777.1
....
1,771.3
1,827.7
1,838.0
2,196.3
1,860.8
2,111.5
2,333.6
....
929.2
1,035.8
1,069.2
1,213.7
1,103.9
1,331.9
1,556.5
....
1,074.1 1,083.4 1,060.7 1,312.4
906.9 1,089.3 1,250.3
....
....
....
....
....
....
....
....
....
.2
.2
.2
.2
.5
.6
.6
....
.6
.2
.4
.5
.5
.6
.7
....
49.3
38.7
50.0
45.2
53.4
49.8
80.4
2.3
.7
.6
.7
.1
1.7
2.1
....
....
....
....
....
....
....
....
....
....
47.0
37.9
49.4
44.5
53.3
48.0
78.3
....
512.6
540.3
639.9
720.3
474.2
601.9
777.6
59.0
70.1
97.4
94.3
64.9
84.6
91.5
....
....
437.2
461.5
527.7
613.2
394.9
503.0
671.0
....
16.4
8.7
14.8
12.8
14.4
14.3
15.1
....
463.5
515.3
545.6
619.0
615.9
650.0
702.1
....
185.4
206.1
218.2
247.5
246.4
260.0
245.7
....
278.1
309.2
327.4
371.5
369.5
390.0
456.4
....
262.1
355.0
212.0
290.5
296.0
320.7
397.4
....
104.9
142.0
84.8
116.3
118.4
129.5
113.3
....
157.3
213.0
127.2
174.2
177.6
191.2
284.1
....
184.2
190.1
181.6
219.5
284.1
321.9
300.2
....
.1
....
....
....
....
....
....
....
18.2
20.8
23.8
24.8
21.1
25.0
27.8
....
5.7
....
.4
.1
....
....
....
....
....
....
....
....
....
....
....
....
133.0
138.2
137.9
178.4
250.4
256.7
216.8
....
11.0
13.1
9.2
5.1
4.5
10.3
16.5
....
.3
.1
....
....
2.5
11.7
6.4
....
15.9
18.1
10.3
11.0
5.6
18.1
32.7
....
153.8
140.3
216.9
202.3
333.2
408.7
380.9
....
38.0
....
....
....
....
3.1
29.5
....
8.8
9.7
80.0
67.1
50.1
90.4
84.8
....
12.5
14.2
7.4
10.1
9.2
17.5
12.2
....
20.9
26.8
27.7
19.8
25.7
30.4
30.8
....
11.2
39.9
57.3
67.1
215.7
208.6
124.8
....
50.7
34.9
25.1
14.0
9.7
33.4
62.4
....
6.1
6.0
8.1
9.7
6.0
6.0
7.0
....
5.6
8.9
11.2
14.4
16.8
19.4
29.4
....
....
....
....
....
....
....
....
....
....
....

473.6
145.1
618.7
29.4
.5
115.6
....
....
....
....
....

536.8
198.2
735.0
29.9
2.1
168.3
.7
....
....
....
.7

395.2
257.2
652.4
32.9
2.5
224.3
....
....
....
....
....

457.2
148.1
605.3
13.9
19.1
134.2
....
....
....
....
....

530.1
73.9
603.9
9.4
27.2
64.5
.1
....
....
....
.1

598.0
54.6
652.5
8.7
10.1
45.8
....
....
....
....
....

955.2
64.4
1,019.6
13.0
13.6
51.4
....
....
....
....
....

_______________________________________________________________________________________________________________________________
409
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Honduras

268
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

6.3
.6
....
....
5.6
109.4
....
109.4
....
....
....
....
618.2
479.5
471.5
103.9
367.6
8.0
....
....
....
....
....
138.7
....
138.7
....
....
....

4.8
....
....
....
4.8
162.8
....
162.8
....
....
....
....
732.9
620.7
615.3
195.9
419.4
5.4
....
....
....
....
....
112.2
....
112.2
....
....
....

4.3
....
....
....
4.3
220.0
....
220.0
....
....
....
....
649.9
534.9
528.6
23.9
504.7
6.3
....
....
....
....
....
115.0
....
115.0
....
....
....

3.8
....
....
....
3.8
130.4
....
130.4
....
....
....
....
586.1
488.2
485.5
29.7
455.8
2.7
....
....
....
....
....
97.9
....
97.9
....
....
....

4.5
....
....
....
4.5
59.9
....
59.9
....
....
....
....
576.7
499.2
496.5
148.5
348.0
2.7
....
....
....
....
....
77.5
....
77.5
....
....
....

11.4
....
....
....
11.4
34.5
....
34.5
....
....
....
....
642.5
566.6
562.5
122.8
439.7
4.1
1.0
....
....
....
1.0
74.8
....
74.8
....
....
....

17.0
....
....
....
17.0
34.3
....
34.3
....
....
....
....
1,006.0
909.7
907.7
233.7
674.0
2.0
....
....
....
....
....
96.3
....
96.3
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,895.1
2,042.4
181.4
1,861.1
1,775.8
85.3
147.3
23.0
124.3
....
124.3

2,450.3
2,588.8
195.4
2,393.3
2,307.4
86.0
138.4
4.5
134.0
....
134.0

2,671.3
2,825.2
144.3
2,681.0
2,580.7
100.2
154.0
2.0
152.0
....
152.0

2,979.6
3,049.5
165.8
2,883.7
2,807.5
76.2
69.9
6.3
63.6
....
63.6

2,639.0
2,697.0
131.4
2,565.6
2,467.9
97.7
57.9
8.1
49.8
....
49.8

2,760.5
2,818.0
131.3
2,686.7
2,594.1
92.6
57.5
9.9
47.7
....
47.7

3,058.5
3,139.5
154.5
2,985.0
2,797.6
187.4
81.1
7.5
73.6
....
73.6

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

860.1
....
....
860.1
844.4
266.6
577.8
15.7
....
....
....
....
....

1,639.5
....
....
1,639.5
1,607.1
154.7
1,452.4
32.4
....
....
....
....
....

1,280.8
....
....
1,280.8
1,245.2
74.1
1,171.1
35.6
....
....
....
....
....

158.6
....
....
158.6
108.3
68.8
39.6
50.3
....
....
....
....
....

130.9
....
....
130.9
93.3
.5
92.9
37.6
....
....
....
....
....

84.4
....
....
84.4
47.6
....
47.6
36.9
....
....
....
....
....

200.9
....
....
200.9
136.9
44.5
92.4
64.1
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

365.4

930.2

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

600.8
.3
....
....
....
....
....
....
.3
1.0
1.3
....

668.5
49.1
....
....
....
....
....
....
49.1
.6
48.5
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

188.5 1,417.9

887.3

678.2 1,451.5

926.1
40.8
....
....
....
....
....
....
40.8
1.5
39.4
....

522.5
33.9
....
....
....
....
....
....
33.9
.7
34.6
....

798.8 1,007.7
6.3
34.9
....
....
....
....
....
....
....
....
....
....
....
....
6.3
34.9
1.4
6.7
4.9
28.2
....
....

930.3
115.5
....
....
....
....
....
....
115.5
1.0
116.5
....

_______________________________________________________________________________________________________________________________
410
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Honduras

268
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

601.1
536.6
169.0
169.0
....
....
367.6
64.5
64.5
....
....

717.6
623.5
204.1
204.1
....
....
419.4
94.1
94.1
....
....

966.9
724.5
219.8
219.8
....
....
504.7
242.4
242.4
....
....

1,045.8
884.8
429.1
429.1
....
....
455.8
161.0
161.0
....
....

488.6
511.2
163.2
163.2
....
....
348.0
22.6
22.6
....
....

792.5
542.6
102.9
102.9
....
....
439.7
249.9
249.9
....
....

1,042.6
958.3
284.3
284.3
....
....
674.0
84.3
84.3
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

23.1
23.1
11.7
....
.4
....
11.3
....
11.4
2.2
4.7
4.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

20.9
20.9
1.8
....
1.8
....
....
....
22.7
2.3
14.5
4.8
1.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....

22.4
22.4
.6
....
.4
....
.2
....
23.0
2.4
10.2
10.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

26.8
26.8
4.1
....
4.1
....
....
....
22.6
2.7
13.8
6.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

56.0
6.0
.4
....
.4
....
....
....
5.6
2.9
14.3
5.8
....
....
50.0
....
....
....
....
....
....
50.0
....
....
50.0
....
....

15.0
15.0
2.4
....
2.4
....
....
....
17.4
3.1
7.0
6.1
1.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3.4
3.4
1.2
....
1.2
....
....
....
2.2
2.3
6.6
6.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

596.7 1,295.8
12.3
84.4
....
....
12.3
84.4
.5
....
6.0
23.7
....
.1
6.8
60.8
....
....
609.0 1,380.1
....
....
....
....
609.0 1,380.1
39.6
173.5
107.7
123.2
616.8 1,314.6
60.3
15.2
....
....

823.8
29.2
....
29.2
....
41.0
.1
12.0
....
794.6
....
....
794.6
1.9
159.8
1,025.4
73.0
....

436.5
17.6
....
17.6
....
6.8
.1
24.5
....
419.0
....
....
419.0
12.8
31.7
324.5
75.6
....

38.1
77.6
....
77.6
....
94.0
.1
16.3
....
115.7
....
163.7
279.3
15.4
298.6
94.5
59.9
....

485.4
88.3
....
88.3
....
84.1
.1
4.4
....
397.0
....
....
397.0
3.3
16.7
403.6
19.9
....

514.8
4.8
....
4.8
....
37.4
....
42.2
....
510.0
....
....
510.0
9.0
21.3
382.6
115.1
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA


Monetary gold.............................................................. 3EA000 A AA
Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

346.4
....
.2
....
346.2

282.1
....
.3
....
282.4

108.5
.7
.1
....
109.3

77.8
.5
....
....
77.3

346.8
.1
163.5
....
510.5

590.9
.5
1.8
....
592.2

67.6
....
5.1
....
72.7

NET ERRORS AND OMISSIONS.........................

....

190.4

305.4

353.2

205.1

502.7

192.2

149.2

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
411
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Honduras

268
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
3,613.3 4,643.1 4,821.3 4,846.0 4,324.2 4,845.1
Direct investment............................................. 8A9999 A AA
....
23.6
24.8
26.3
40.1
43.7
42.3
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
43.7
43.7
....
....
260.4
16.3
....
5.2
....
11.1
....
244.1
42.9
40.4
159.8
1.0
....
....
1,910.9
....
1,910.9
217.0
587.9
.7
1,105.3
....
2,109.2
24.0
164.3
13.5
1,907.3

....
....
....
42.3
42.3
....
....
275.6
13.9
....
2.8
....
11.1
....
261.8
46.0
47.6
166.1
2.2
....
....
1,826.8
....
1,826.8
217.0
504.1
.9
1,104.8
....
2,700.4
31.1
159.6
13.3
2,496.4

2011
5,164.3
49.0
....
....
....
....
49.0
49.0
....
....
228.9
13.1
....
2.0
....
11.1
....
215.8
49.3
41.8
122.6
2.2
....
....
2,101.9
....
2,101.9
217.0
549.4
.9
1,334.6
....
2,784.5
34.7
154.2
13.2
2,582.3

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
23.6
23.6
....
....
193.5
15.1
....
3.8
....
11.3
....
178.4
32.6
12.8
133.0
....
....
....
1,090.7
....
1,090.7
217.2
649.4
.1
224.0
....
2,305.6
11.3
.3
12.3
2,281.7

....
....
....
24.8
24.8
....
....
218.6
13.3
....
2.0
....
11.3
....
205.3
34.9
31.5
137.9
1.0
....
....
1,792.2
....
1,792.2
217.2
633.1
.3
941.7
....
2,607.5
13.9
....
13.0
2,580.6

....
....
....
26.3
26.3
....
....
241.1
12.7
....
1.6
....
11.1
....
228.4
37.3
41.8
148.4
1.0
....
....
2,045.7
....
2,045.7
216.9
674.2
.4
1,154.2
....
2,508.2
18.2
.1
13.6
2,476.3

....
....
....
40.1
40.1
....
....
272.9
20.4
....
9.3
....
11.1
....
252.5
40.0
57.0
154.5
1.0
....
....
2,083.4
....
2,083.4
217.0
681.9
....
1,184.5
....
2,449.6
19.1
.1
13.3
2,417.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8,365.7
2,838.3
2,539.7
2,539.7
....
....
298.6
298.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7,801.9
3,512.4
3,272.9
3,272.9
....
....
239.5
239.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7,918.4
4,440.0
4,200.1
4,200.1
....
....
239.9
239.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

9,400.5 10,062.1 11,247.7 12,717.7


5,472.8 5,996.1 6,793.4 7,807.9
4,852.6 5,363.8 5,906.4 6,864.7
4,852.6
5,363.8
5,906.4
6,864.7
....
....
....
....
....
....
....
....
620.2
632.3
887.0
943.1
620.2
632.3
887.0
943.1
....
....
....
....
....
....
....
....
78.3
112.1
90.0
90.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
78.3
112.1
90.0
90.3
....
....
....
....
78.3
62.1
40.0
40.3
....
50.0
50.0
50.0
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
412
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Honduras

268
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: lempiras per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
5,527.4
....
27.2
5,500.1
345.2
485.3
4,024.0
645.7
....

....
4,289.5
....
28.7
4,260.8
202.1
621.7
2,815.8
621.4
....

....
3,478.5
....
30.1
3,448.4
198.4
782.7
1,801.3
666.0
....

....
3,849.4
....
29.4
3,820.0
223.9
744.0
2,120.5
731.7
....

....
3,954.0
....
194.2
3,759.8
366.5
474.4
2,247.1
671.9
....

....
4,364.2
....
190.7
4,173.5
357.5
513.0
2,617.0
685.9
....

....
4,819.5
....
190.1
4,629.4
350.8
536.7
2,974.3
767.5
....

....

4,752.3 3,158.8 3,097.1 4,554.6 5,737.9 6,402.6 7,553.3

....

18.8952

18.8952

18.8951

18.8951

18.8951

18.8951

18.8951

_______________________________________________________________________________________________________________________________
413
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Hungary

944
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
8,238
8,380
9,962 11,119
193
1,302

1,320

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

7,869

7,987

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

2,992
3,361

B. Capital Account........................................... 20999F B AA

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

7,498

7,632

8,983

9,470

1,246

C. Financial Account......................................... 30999F N AA

....

14,982

11,477

9,486

16,717

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

3,109
2,438
671

17,757
17,258
499

67,467
66,317
1,150

73,197
71,305
1,892

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

8,505
7,141
1,364

18,679
13,012
5,666

70,631
60,447
10,184

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,283
747
536

2,427
1,907
520

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

5,784
16
5,801

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

58,646
61,106

2006

2007

2008

2009

2,460

70,188
72,673

2,485

89,603
89,972

103,158
104,042

77,819
73,809

88,460
83,876

98,956
95,204

12,131
11,296

1,624

13,134
11,917

1,268

16,794
15,551

19,649
18,251

17,997
15,877

18,579
15,021

22,318
16,867

3,533
9,778

8,339
15,058

12,840
22,995

9,280

16,718
27,508

10,276

17,730
24,613

18,039
25,302

13,739
22,254

3,343
3,736

4,082
4,764

2,657
3,500

3,432
2,873

3,225
2,801

3,766
3,134

740

748

979

1,649

1,440

2,226

3,256

858
118

1,286
538

1,423
444

1,709
61

2,430
990

2,986
760

3,484
227

368

875

884

514

4,010

6,131

752

4,584

8,142

879

3,752

9,203

688

3,529

4,577

3,463

2,820

3,316

3,760
4,819
8,579

24,589
41,115
16,526

8,931
18,595
9,664

74,992
42,138
32,854

2,966
5,848
2,882

20,670
506
21,175

9,629
6,768
16,397

2,869
2,574
295

3,854
3,296
559

1,061
1,132
71

833
1,074
241

2,289
2,295
5

8,751
912
7,839

526
5,010
5,536

839
197
1,036

4,083
665
4,749

456
206
662

6,392
203
6,594

151
3,621
3,771

187
4,570
4,383

1,121
6,336
5,215

1,063
12,981
14,044

1,016
7,765
6,749

912
6,593
5,681

1,045
7,008
8,053

....
....
....

2,324
....
2,324

3,604
....
3,604

7,977
....
7,977

3,735
....
3,735

1,066
....
1,066

592
....
592

3,049
....
3,049

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

7,559
....
7,559

7,484

7,648
....
7,648

3,846

15,521
....
15,521

22,736
....
22,736

7,864
....
7,864

1,042
....
1,042

8,067
....
8,067

D. Net Errors and Omissions............................. 40999S N AA

....

2,580

2,743

349

3,073

744

2,186

2,343

E. Reserves and Related Items.......................... 4Z999S N AA

....

4,904

1,102

154

4,173

3,965

4,162

5,550

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

4,904
....
....

1,102
....
....

154
....
....

10,424
6,251
....

9,123
5,158
....

4,162
....
....

5,550
....
....

Conversion rates: forint per U.S. dollar............ RFZ F B

....

199.58

210.39

183.63

172.11

202.34

207.94

201.06

502

7,246

4,709

6,349

7,892

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
414
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Hungary

944
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
8,238
8,380
9,962 11,119
193
1,302
GOODS AND SERVICES..................................... 1Z9999 B XN
....
1,624
1,268
875
514
6,131
8,142
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

70,778
72,402
2,460
58,646
57,112
1,534
....
61,106
61,106
....
835
12,131
11,296
598
87
211
39
2,178

83,322
84,590
2,485
70,188
68,725
1,463
....
72,673
72,673
....
1,217
13,134
11,917
690
35
203
64
2,706

106,398
105,522
368
89,603
87,905
1,698
....
89,972
89,972
....
1,243
16,794
15,551
957
26
255
82
3,364

122,807
122,293
884
103,158
101,158
2,001
....
104,042
104,042
....
1,398
19,649
18,251
1,083
143
289
97
4,050

95,817
89,686
4,010
77,819
76,116
1,703
....
73,809
73,809
....
2,121
17,997
15,877
837
6
285
100
3,515

107,039
98,897
4,584
88,460
86,648
1,812
....
83,876
83,876
....
3,558
18,579
15,021
695
627
311
132
3,842

1,320
9,203
121,274
112,071
3,752
98,956
97,159
1,796
....
95,204
95,204
....
5,450
22,318
16,867
2,021
481
381
153
4,609

2,265

2,528

3,130

3,688

2,920

3,284

3,733

4,120
763
3,357
2,277
248
2,029
5,025
173
7
146
837
674
1,791
1,272
125
6,801
101
202
186
1,108
799
3,088
1,144
173

4,254
788
3,466
1,879
266
1,614
5,281
392
14
159
550
847
2,146
1,066
106
7,481
237
205
208
1,169
973
3,636
861
192

4,739
903
3,836
2,546
356
2,190
7,480
527
22
256
920
1,240
3,038
1,360
118
9,767
354
200
292
1,752
1,195
4,768
976
230

6,033
987
5,046
3,225
624
2,601
8,194
612
29
251
864
1,618
3,678
999
143
11,097
408
202
304
2,008
1,287
5,708
917
262

5,712
830
4,881
2,750
682
2,068
7,647
491
19
182
831
1,547
3,368
1,074
135
10,112
397
283
256
1,438
1,127
5,490
905
217

5,339
785
4,554
2,404
531
1,874
8,393
384
31
163
1,017
1,534
3,874
1,280
110
9,828
339
164
218
1,334
1,086
5,539
968
181

5,629
708
4,921
2,485
560
1,925
9,678
441
33
187
1,025
1,583
4,953
1,328
127
10,977
258
219
225
1,380
1,157
6,557
1,006
175

....
....
....
....
....
....
....
....
....
....
....

6,245
3,533
9,778
1,852
814
1,682
649
574
460
114
75

6,719
8,339
15,058
2,019
874
6,320
4,867
3,968
2,643
1,324
900

10,155
12,840
22,995
2,252
1,256
10,588
8,493
7,290
3,478
3,811
1,204

10,791
16,718
27,508
2,461
1,405
14,256
11,820
8,818
3,207
5,612
3,002

6,883
17,730
24,613
2,087
1,111
15,642
13,563
11,570
2,292
9,278
1,993

7,263
18,039
25,302
2,111
1,065
15,928
13,952
12,266
3,195
9,071
1,686

8,514
13,739
22,254
2,383
1,112
11,356
9,132
7,425
4,651
2,774
1,707

641
706
832
444
974
847

744
909
1,053
440
1,038
1,049

889
1,258
1,217
542
1,308
1,280

1,080
1,440
1,530

608
1,551
1,529

1,028
1,280
1,207

483
1,170
1,266

999
1,480
1,364
475
1,355
1,455

1,299
1,737
1,572

527
1,571
1,636

_______________________________________________________________________________________________________________________________
415
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Hungary

944
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

567
53
....
....
514
465
....
465
....
....
....
....
8,964
5,900
5,336
3,028
2,308
564
2,196
373
....
....
1,823
869
....
869
....
....
....

773
64
....
....
710
679
....
679
....
....
....
....
14,184
10,636
9,563
6,320
3,243
1,073
2,406
415
....
....
1,990
1,142
....
1,142
....
....
....

997
95
....
....
903
1,097
....
1,097
....
....
....
....
21,739
16,524
15,312
8,394
6,918
1,212
3,284
749
....
....
2,535
1,930
....
1,930
....
....
....

1,262
207
....
....
1,055
1,174
....
1,174
....
....
....
....
26,103
19,017
15,698
9,658
6,040
3,318
3,691
592
....
....
3,099
3,395
....
3,395
....
....
....

1,302
206
....
....
1,096
777
....
777
....
....
....
....
23,502
18,187
14,288
9,314
4,975
3,899
2,627
174
....
....
2,453
2,687
....
2,687
....
....
....

1,382
261
....
....
1,121
594
....
594
....
....
....
....
24,237
19,610
15,803
9,397
6,405
3,807
2,485
165
....
....
2,320
2,141
....
2,141
....
....
....

1,601
348
....
....
1,252
624
....
624
....
....
....
....
21,142
15,531
12,974
10,590
2,384
2,557
3,157
227
....
....
2,929
2,454
....
2,454
....
....
....

....
....
....
....
....
....
....
....
....
....
....

369
2,992
1,041
1,951
61
1,890
3,361
1,431
1,930
98
1,832

392
3,343
1,064
2,279
54
2,225
3,736
1,319
2,417
107
2,310

682
4,082
1,506
2,576
57
2,519
4,764
1,569
3,195
111
3,084

843
2,657
854
1,803
48
1,755
3,500
1,251
2,249
131
2,118

559
3,432
1,082
2,350
49
2,301
2,873
1,126
1,747
118
1,629

424
3,225
1,067
2,157
52
2,106
2,801
1,177
1,624
94
1,530

632
3,766
1,181
2,585
58
2,527
3,134
1,283
1,851
97
1,753

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

740
51
34
807
280
....
280
527
84
23
....
23
61

748
100
80
1,185
591
....
591
595
458
272
....
272
187

979
209
322
1,214
832
....
832
381
122
34
....
34
88

1,649
443
48
1,267
535
....
535
732
13
....
....
....
13

1,440
10
879
2,419
1,313
....
1,313
1,106
112
47
....
47
65

2,226
26
408
2,961
2,036
....
2,036
925
352
142
....
142
210

3,256
73
206
3,411
2,640
....
2,640
771
22
21
....
21
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

10,078

10,375

9,332

12,544

502

1,342

2,234

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

5,396
3,109
2,438
2,324
2,324
....
....
114
671
113
558
....

922
17,757
17,258
15,933
15,933
....
....
1,324
499
1,370
871
....

3,165
67,467
66,317
62,506
62,506
....
....
3,811
1,150
1,353
203
....

1,795
73,197
71,305
65,694
65,694
....
....
5,612
1,892
552
2,445
....

794
3,760
4,819
4,459
4,459
....
....
9,278
8,579
1,017
9,596
....

3,920
24,589
41,115
50,186
50,186
....
....
9,071
16,526
122
16,648
....

698
8,931
18,595
15,821
15,821
....
....
2,774
9,664
4,454
14,118
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
416
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Hungary

944
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

8,505
7,141
4,833
4,833
....
....
2,308
1,364
1,043
321
....

18,679
13,012
9,770
9,770
....
....
3,243
5,666
5,639
27
....

70,631
60,447
53,529
53,529
....
....
6,918
10,184
10,193
9
....

74,992
42,138
36,098
36,098
....
....
6,040
32,854
32,848
6
....

2,966
5,848
10,822
10,822
....
....
4,975
2,882
1,008
1,874
....

20,670
506
5,900
5,900
....
....
6,405
21,175
21,338
163
....

9,629
6,768
9,152
9,152
....
....
2,384
16,397
15,198
1,199
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,501
1,283
747
....
70
....
817
....
536
....
74
....
463
....
5,784
16
....
277
....
261
....
5,801
868
1,328
4,315
1,025
....

6,324
2,427
1,907
....
13
....
1,920
....
520
....
234
....
285
....
8,751
912
....
799
....
113
....
7,839
21
3,231
4,442
187
....

2,343
2,869
2,574
....
9
....
2,582
....
295
....
275
....
570
....
526
5,010
....
146
....
4,864
....
5,536
394
2,573
3,446
90
....

3,015
3,854
3,296
....
....
....
3,296
....
559
....
126
....
684
....
839
197
....
1,306
....
1,109
....
1,036
147
2,468
1,049
236
....

5,144
1,061
1,132
....
....
....
1,132
....
71
....
49
....
120
....
4,083
665
....
594
....
72
....
4,749
76
2,568
2,206
51
....

377
833
1,074
....
....
....
1,074
....
241
....
55
38
334
....
456
206
....
173
....
33
....
662
757
2,748
1,869
785
....

8,681
2,289
2,295
....
28
1,250
3,572
....
5
....
42
131
83
....
6,392
203
....
103
....
100
....
6,594
600
2,278
8,256
16
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

151
3,621
3,771

187
4,570
4,383

1,121
6,336
5,215

1,063
12,981
14,044

1,016
7,765
6,749

912
6,593
5,681

1,045
7,008
8,053

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,236
2,324
....
2,324
11
165
212
1,935
....
7,559
....
....
7,559
36
4,575
560
2,461
....

4,044
3,604
....
3,604
....
2,983
431
1,052
....
7,648
....
....
7,648
56
4,368
720
2,504
....

7,543
7,977
....
7,977
....
3,898
863
3,216
....
15,521
....
....
15,521
112
6,458
2,894
6,281
....

25,251
3,735
....
3,735
....
3,562
141
33
....
28,987
....
....
28,987
785
13,820
9,532
4,849
....

11,956
1,066
....
1,066
....
144
424
785
....
13,022
....
1,550
11,472
3,122
3,175
9,236
2,289
....

1,634
592
....
592
....
1,598
64
2,127
....
1,042
....
....
1,042
3,377
4,233
942
1,127
....

5,018
3,049
....
3,049
....
1,348
652
1,049
....
8,067
....
....
8,067
1,314
4,835
407
2,326
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

4,904
....
10
309
5,202

1,102
....
7
64
1,160

154
....
6
29
178

10,424
....
25
4
10,445

9,123
....
1,421
....
7,702

4,162
....
296
....
4,458

5,550
....
318
....
5,868

NET ERRORS AND OMISSIONS.........................

....

2,580

2,743

349

3,073

744

2,186

2,343

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
417
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Hungary

944
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
57,617 179,770 277,459 323,727 330,759 304,228
Direct investment............................................. 8A9999 A AA
....
13,550 120,210 200,150 248,163 240,689 212,729
Equity and investment fund shares................. 8AA000 A AA
....
7,636
55,103 129,076 185,652 184,797 144,128
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7,636
....
....
5,913
546
5,368
....
2,800
1,663
....
7
....
1,656
....
1,137
....
347
....
790
....
1,447
21,217
....
21,217
31
6,219
725
14,242
....
18,603
51
64
192
18,296

55,103
....
....
65,106
2,463
62,643
....
5,568
3,828
....
4
....
3,824
....
1,740
....
628
....
1,112
....
2,070
30,334
....
30,334
33
10,254
582
19,465
....
21,589
63
74
137
21,316

129,076
....
....
71,075
4,575
66,499
....
9,468
7,256
....
3
....
7,252
....
2,212
....
385
....
1,828
....
2,438
41,351
....
41,351
35
14,982
1,552
24,782
....
24,052
82
83
113
23,773

185,651
....
....
62,511
4,782
57,729
....
8,460
6,238
....
....
....
6,238
....
2,222
....
260
....
1,962
....
5,133
28,099
....
28,099
36
17,758
1,727
8,579
....
33,874
86
54
114
33,620

184,797
....
....
55,893
5,750
50,143
....
11,823
9,602
....
....
....
9,602
....
2,221
....
323
....
1,898
....
3,433
30,630
....
30,630
37
18,126
2,397
10,070
....
44,183
109
1,479
116
42,479

144,128
....
....
68,601
5,336
63,265
....
12,848
11,066
....
....
....
11,066
....
1,782
....
366
43
1,374
....
3,827
29,836
....
29,836
37
15,874
2,285
11,640
....
44,988
139
1,154
114
43,581

310,995
222,886
165,476
165,476
....
....
57,410
9,832
47,578
....
8,361
6,835
....
35
792
6,009
....
1,526
....
268
149
1,109
....
5,330
25,584
....
25,584
37
14,058
1,527
9,962
....
48,835
154
842
113
47,725

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

154,959
66,849
55,225
55,225
....
....
11,624
11,253
371
....
46,068
13,157
....
1,998
....
11,159
....
32,911
964
3,987
26,703
1,258
....

300,624
182,917
147,598
147,598
....
....
35,319
34,867
453
....
63,019
18,376
....
3,373
....
15,004
....
44,643
935
7,894
34,208
1,606
....

410,020
262,837
214,554
214,554
....
....
48,284
47,774
510
....
70,395
15,267
....
2,420
....
12,847
....
55,128
579
11,600
41,252
1,698
....

472,629
315,505
234,525
234,513
13
....
80,979
79,585
1,394
....
59,096
9,035
....
2,541
....
6,494
....
50,061
515
12,242
36,023
1,280
....

493,159
318,838
231,272
231,272
....
....
87,566
84,223
3,342
....
62,555
16,101
....
6,154
....
9,947
....
46,454
693
10,041
34,599
1,121
....

445,279
279,208
216,480
216,480
....
....
62,728
59,291
3,437
....
57,488
14,659
....
4,833
....
9,826
....
42,828
1,397
6,582
32,980
1,869
....

426,829
275,393
200,046
200,046
....
....
75,348
70,770
4,577
....
53,069
10,230
....
2,588
....
7,642
....
42,839
1,880
3,807
35,450
1,701
....

_______________________________________________________________________________________________________________________________
418
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Hungary

944
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: forint per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

1,652
40,390
....
....
40,390
293
18,536
3,874
17,686
....

2,403
52,285
....
....
52,285
392
24,733
5,075
22,085
....

3,192
73,595
....
....
73,595
343
33,830
8,649
30,773
....

6,356
91,673
....
....
91,673
1,166
47,872
17,964
24,672
....

4,291
107,475
....
1,554
105,922
4,313
45,531
28,138
27,939
....

5,838
102,745
....
1,526
101,218
7,430
40,456
27,580
25,753
....

6,899
91,467
....
1,522
89,946
6,042
34,390
26,728
22,785
....

....
....

97,342 120,853 132,561 148,902 162,400 141,051 115,833


213.58

191.62

172.61

187.91

188.07

208.65

240.68

_______________________________________________________________________________________________________________________________
419
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iceland

176
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
2,648
3,990
3,195
4,472
1,407
1,012

973

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

2,621

3,955

3,135

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

11
38

8
43

B. Capital Account........................................... 20999F B AA

....

27

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

14
41

2,675

4,016

3,225

4,485

1,419

C. Financial Account......................................... 30999F N AA

....

2,354

7,089

4,375

12,012

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

7,114
6,028
1,086

5,555
4,774
782

10,227
10,593
366

3,790
2,647
1,144

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

3,124
2,668
456

3,886
3,197
689

6,879
3,133
3,746

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

4,707
3,279
1,428

3,042
1,081
1,961

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

16,935
83
16,851

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

3,107
4,590

2006

3,477
5,716

2007

2008

2009

4,793
6,179

5,399
5,699

4,051
3,318

4,603
3,620

5,344
4,506

2,337
2,032

2,499
2,212

2,971
2,608

1,482

2,239

1,385

2,037
2,554

1,871
2,562

2,277
2,968

2,190
2,535

645

1,038

1,270

1,200

1,643
5,431

4,433

770
3,144

1,336

475
2,688

1,121
3,222

16
76

20
60

4
76

7
78

6
79

26

30

13

12

....

15
41

16
46

16
29

4
16

3
6

6
6

1,999

2,930

2,076

1,455
2,078

2,595
3,620

4,469
5,528

300

733

983

942

838

900

1,016

973

17,244

7,468

7,884

2,272
2,457
185

2,481
1,250
1,231

71
332
403

1,208
223
1,431

64
382
446

258
93
350

1,105
145
960

9,200
4,430
4,770

5,616
2,393
3,223

965
286
678

213
1,041
828

931
88
1,019

14,380
1,166
13,214

599
211
388

1,217
1,990
774

10,950
98
10,851

11,279
29
11,308

7,890
11
7,879

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

10,922
....
10,922

11,371
....
11,371

17,146
....
17,146

2,617
....
2,617

951
....
951

2,444
....
2,444

4,235
....
4,235

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

5,038
....
5,038

321

8,791
....
8,791

3,073

33,470
....
33,470

5,231
....
5,231

4,099
....
4,099

1,585
....
1,585

4,475
....
4,475

D. Net Errors and Omissions............................. 40999S N AA

....

392

1,822

1,042

9,101

3,686

1,529

726

E. Reserves and Related Items.......................... 4Z999S N AA

....

71

1,252

108

1,574

14,977

10,012

8,132

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

71
....
....

1,252
....
....

108
....
....

1,187
830
1,930

226
167
15,036

2,003
321
11,695

2,854
839
10,147

Conversion rates: krnur per U.S. dollar..........

....

62.982

70.180

64.055

87.948

123.638

122.242

115.954

RFZ F B

1,151

7,527

18,663

8,483

8,858

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
420
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iceland

176
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
2,648
3,990
3,195
4,472
1,407
1,012
GOODS AND SERVICES..................................... 1Z9999 B XN
....
1,999
2,930
2,076
645
1,038
1,270
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

624
....
624
1,103
....
1,103
630
....
15
3
....
96
497
12
6
627
12
21
16
4
51
488
10
24

6,388
5,350
733
4,051
4,051
....
....
3,318
3,318
....
305
2,337
2,032
....
....
....
....
1,056
....
....
....
683
....
....
....
547
....
....
534
....
....
734
....
....
....
....
....
734
....
....
815
....
....
....
....
....
815
....
....

7,103
5,833
983
4,603
4,603
....
....
3,620
3,620
....
287
2,499
2,212
....
....
....
....
1,200
....
....
....
632
....
....
....
560
....
....
599
....
....
739
....
....
....
....
....
739
....
....
982
....
....
....
....
....
982
....
....

973
1,200
8,314
7,114
838
5,344
5,344
....
....
4,506
4,506
....
363
2,971
2,608
....
....
....
....
1,366
....
....
....
784
....
....
....
750
....
....
740
....
....
855
....
....
....
....
....
855
....
....
1,083
....
....
....
....
....
1,083
....
....

3,788
1,643
5,431
19
27
1,624
788
997
318
1,316
209

2,373
770
3,144
20
18
751
275
7
27
20
268

2,212
475
2,688
22
7
453
164
44
242
286
208

2,100
1,121
3,222
21
6
1,100
801
445
330
116
356

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,145
7,143
1,482
3,107
3,107
....
....
4,590
4,590
....
516
2,037
2,554
....
....
....
....
1,078

5,348
8,278
2,239
3,477
3,477
....
....
5,716
5,716
....
691
1,871
2,562
....
....
....
....
838

7,070
9,146
1,385
4,793
4,793
....
....
6,179
6,179
....
691
2,277
2,968
....
....
....
....
1,008

7,589
8,234
300
5,399
5,399
....
....
5,699
5,699
....
345
2,190
2,535
....
....
....
....
937

885

766

883

805

413
....
413
980
....
980
546
....
8
....
....
78
358
16
86
689
7
41
24
4
55
522
13
22

478
....
478
1,076
....
1,076
555
....
10
1
....
101
372
12
59
721
18
51
19
4
63
531
14
20

601
....
601
1,326
....
1,326
668
....
12
2
....
106
526
9
13
758
25
36
21
5
68
560
17
25

....
....
....
....
....
....
....
....
....
....
....

622
1,455
2,078
74
24
1,381
966
940
70
870
26

1,024
2,595
3,620
72
39
2,523
1,331
1,185
29
1,156
146

1,059
4,469
5,528
25
54
4,444
1,912
1,752
1,264
488
160

222
182
674

11
28
846

224
139
475

8
25
733

247
165
597

10
32
841

2011

257
132
548

4
34
767

_______________________________________________________________________________________________________________________________
421
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iceland

176
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

94
73
....
....
21
321
....
321
....
....
....
....
2,053
1,044
1,037
30
1,007
7
791
25
....
....
766
219
....
219
....
....
....

247
150
....
....
97
945
....
945
....
....
....
....
3,581
1,157
1,151
83
1,068
6
1,797
49
....
....
1,748
626
....
626
....
....
....

704
269
....
....
435
1,828
....
1,828
....
....
....
....
5,474
938
860
302
558
78
2,907
106
....
....
2,801
1,629
....
1,629
....
....
....

567
230
....
....
337
1,846
....
1,846
....
....
....
....
5,403
398
864
116
980
465
3,220
75
....
....
3,145
2,582
....
2,582
....
....
....

146
99
....
....
47
330
....
330
....
....
....
....
3,125
565
608
4
612
1,174
1,656
11
....
....
1,645
904
....
904
....
....
....

94
37
....
....
56
196
....
196
....
....
....
....
2,681
858
247
5
252
1,105
1,377
16
....
....
1,361
446
....
446
....
....
....

134
29
....
....
105
165
....
165
....
....
....
....
3,216
1,035
123
4
119
912
1,464
11
....
....
1,453
717
....
717
....
....
....

....
....
....
....
....
....
....
....
....
....
....

27
11
1
10
....
10
38
26
12
....
12

35
8
....
8
....
8
43
29
14
....
14

60
16
....
16
....
16
76
56
20
....
20

40
20
....
20
....
20
60
46
13
....
13

72
4
....
4
....
4
76
45
31
....
31

70
7
....
7
....
7
78
45
33
....
33

73
6
....
6
....
6
79
43
36
....
36

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

27
....
....
14
....
....
....
14
41
....
....
....
41

26
....
....
15
....
....
....
15
41
....
....
....
41

30
....
....
16
....
....
....
16
46
....
....
....
46

13
....
....
16
....
....
....
16
29
....
....
....
29

12
....
....
4
....
....
....
4
16
....
....
....
16

3
....
....
3
....
....
....
3
6
....
....
....
6

....
....
....
6
....
....
....
6
6
....
....
....
6

FINANCIAL ACCOUNT........................................ 30999S N AA

....

2,283

5,838

4,267

13,586

2,266

2,545

247

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

3,990
7,114
6,028
5,158
5,158
....
....
870
1,086
1,086
....
....

1,669
5,555
4,774
3,617
3,617
....
....
1,156
782
782
....
....

3,348
10,227
10,593
10,104
10,104
....
....
488
366
366
....
....

4,998
3,790
2,647
1,331
1,331
....
....
1,316
1,144
1,144
....
....

2,209
2,272
2,457
2,477
2,477
....
....
20
185
185
....
....

2,738
2,481
1,250
963
963
....
....
286
1,231
1,231
....
....

1,176
71
332
216
216
....
....
116
403
403
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
422
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iceland

176
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

3,124
2,668
1,661
1,661
....
....
1,007
456
456
....
....

3,886
3,197
2,129
2,129
....
....
1,068
689
689
....
....

6,879
3,133
2,576
2,576
....
....
558
3,746
3,746
....
....

1,208
223
757
757
....
....
980
1,431
1,431
....
....

64
382
230
230
....
....
612
446
446
....
....

258
93
160
160
....
....
252
350
350
....
....

1,105
145
25
25
....
....
119
960
960
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

12,228
4,707
3,279
1
1,553
....
1,724
....
1,428
....
1,090
....
338
....
16,935
83
....
379
....
295
....
16,851
....
17,266
416
1
....

11,338
3,042
1,081
....
29
....
1,052
....
1,961
....
1,829
....
133
....
14,380
1,166
....
629
....
537
....
13,214
....
11,563
986
666
....

8,601
9,200
4,430
....
2,896
....
1,534
....
4,770
....
4,181
....
589
....
599
211
....
1,139
....
928
....
388
....
93
134
347
....

4,400
5,616
2,393
....
881
....
1,513
....
3,223
....
3,171
....
52
....
1,217
1,990
....
1,145
....
845
....
774
1,151
2,708
3,011
681
....

9,985
965
286
....
10
....
277
....
678
....
165
....
844
....
10,950
98
....
34
....
64
....
10,851
876
....
405
10,381
....

11,066
213
1,041
....
9
....
1,033
....
828
....
73
....
755
....
11,279
29
....
....
....
29
....
11,308
....
5
1,660
9,643
....

8,821
931
88
....
....
....
88
....
1,019
....
298
....
721
....
7,890
11
....
....
....
11
....
7,879
....
7
480
7,407
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,884
10,922
....
10,922
....
10,466
....
456
....
5,038
....
....
5,038
1
3,487
137
1,687
....

2,580
11,371
....
11,371
....
11,085
....
286
....
8,791
....
....
8,791
19
7,114
75
1,771
....

16,324
17,146
....
17,146
....
18,022
....
876
....
33,470
....
....
33,470
4
31,579
24
1,919
....

5,375
2,617
....
2,617
....
1,386
....
1,287
....
7,992
....
....
7,992
1,115
5,609
568
700
....

10,153
951
....
951
....
249
....
682
....
11,104
....
150
10,954
102
420
371
11,106
....

12,875
2,444
....
2,444
....
328
....
2,801
....
10,431
....
....
10,431
779
671
709
9,613
....

10,746
4,235
....
4,235
....
204
....
4,429
....
6,511
....
....
6,511
903
477
673
5,412
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

71
....
....
....
71

1,252
....
....
....
1,251

108
11
....
....
97

1,187
3
....
....
1,183

226
14
144
....
68

2,003
21
29
....
2,011

2,854
8
625
....
2,221

NET ERRORS AND OMISSIONS.........................

....

392

1,822

1,042

9,101

3,686

1,529

726

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
423
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iceland

176
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
39,882
66,492 112,783
39,894
37,642
37,002
Direct investment............................................. 8A9999 A AA
....
10,556
14,871
29,457
13,406
14,683
12,820
Equity and investment fund shares................. 8AA000 A AA
....
8,470
11,789
23,358
9,088
7,800
6,797
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
2,086
1,940
145
....
10,874
9,229
3
2,387
5
6,834
....
1,646
1
1,120
....
525
....
....
17,392
....
17,392
....
16,507
....
885
....
1,060
33
....
27
1,000

....
....
....
3,082
2,817
265
....
18,596
13,383
3
2,969
23
10,389
....
5,213
1
3,124
....
2,088
....
....
30,688
....
30,688
....
29,458
....
1,230
....
2,337
41
....
28
2,268

....
....
....
6,099
5,646
454
....
31,127
20,608
8
6,466
27
14,107
....
10,520
....
8,272
....
2,247
....
....
49,573
....
49,573
....
49,172
....
402
....
2,626
53
....
29
2,543

....
....
....
4,318
4,011
306
....
8,514
6,725
2
293
26
6,405
....
1,789
....
242
....
1,546
....
....
14,412
....
14,412
....
3,269
....
11,143
....
3,562
55
....
29
3,478

....
....
....
6,883
6,556
327
....
7,116
5,919
1
44
26
5,848
....
1,196
....
345
....
851
....
....
11,960
....
11,960
....
1,793
....
10,167
....
3,883
69
145
29
3,639

....
....
....
6,023
5,562
461
....
6,859
4,835
2
29
24
4,780
....
2,024
....
378
....
1,646
....
....
11,546
....
11,546
....
2,066
....
9,480
....
5,777
91
113
29
5,545

37,410
12,789
6,697
....
....
....
6,092
5,778
314
....
7,517
4,683
1
27
24
4,631
....
2,834
....
667
....
2,167
....
....
8,570
....
8,570
....
2,242
....
6,328
....
8,534
100
711
29
7,695

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

53,606
5,220
3,728
....
....
....
1,492
1,085
407
....
37,587
3,690
....
1,621
....
2,069
....
33,897
....
30,559
2,194
1,145
....

83,245
8,590
5,949
....
....
....
2,642
1,966
676
....
54,558
4,980
....
2,206
....
2,774
....
49,578
....
44,456
3,238
1,884
....

136,369
20,774
10,654
....
....
....
10,120
6,178
3,942
....
59,698
5,831
....
3,442
....
2,389
....
53,867
....
46,829
3,806
3,232
....

124,670
13,208
2,162
....
....
....
11,046
7,328
3,717
....
50,219
103
....
18
....
85
....
50,115
884
....
3,769
45,463
....

122,479
13,124
912
....
....
....
12,213
8,044
4,168
....
39,803
135
....
....
....
135
....
39,668
....
....
4,133
35,535
....

122,292
13,138
1,461
....
....
....
11,677
10,784
893
....
28,409
326
....
....
....
326
....
28,083
....
4
3,095
24,984
....

112,756
13,797
1,660
....
....
....
12,137
11,229
908
....
20,728
303
....
....
....
303
....
20,425
....
1
3,012
17,412
....

_______________________________________________________________________________________________________________________________
424
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iceland

176
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: krnur per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
10,799
....
23
10,776
2
7,294
237
3,242
....

....
20,096
....
25
20,072
1
14,890
166
5,015
....

....
55,897
....
26
55,871
2
49,304
119
6,446
....

....
61,243
....
25
61,218
1,557
5,615
635
53,410
....

....
69,551
....
176
69,376
1,453
2,426
1,017
64,478
....

....
80,745
....
173
80,573
2,251
1,793
1,790
74,738
....

....
78,230
....
172
78,058
3,069
1,236
2,379
71,374
....

....

13,724

16,753

23,586

84,776

84,837

85,291

75,346

....

62.980

71.660

61.850

120.580

124.900

115.050

122.710

_______________________________________________________________________________________________________________________________
425
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

India

534
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to Q1 2009 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
A. Current Account.......................................... 10999F B XN
. . . . 10,284
9,299
8,076 30,972

26,186

52,275

60,038

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

167,958
247,908

225,915
322,154

299,387
415,800

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

124,061
117,086

137,325
124,592

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

33,926

38,015

45,220

79,724

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

24,512
869

30,015
1,299

38,885
1,742

B. Capital Account........................................... 20999F B AA

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

10,284

....
....

9,299

8,076

30,972

25,893

52,223

59,972

C. Financial Account......................................... 30999F N AA

....

25,284

37,775

94,363

34,437

42,921

66,996

56,621

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

2,641
2,349
292

14,037
12,821
1,216

17,026
15,049
1,977

19,257
15,211
4,046

16,096
12,748
3,348

15,489
8,829
6,660

14,836
5,830
9,006

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

7,269
7,269
....

20,029
20,029
....

25,228
24,928
300

43,406
42,690
716

35,581
34,111
1,470

26,502
26,485
17

32,190
29,640
2,550

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

7
7
....

37
37
....

153
153
....

45
45
....

174
....
....

1,110
....
....

46
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

12,151
12,151
....

9,509
9,509
....

32,863
32,863
....

15,030
15,030
....

17,931
24,689
6,758

37,986
30,442
7,544

2,710
4,137
6,847

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

4,432
....
4,432

2,789
....
2,789

13,065
....
13,065

1,010
....
1,010

728
....
728

171
....
171

1,447
....
1,447

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

12,943
....
12,943

15,000

25,026
....
25,026

28,476

40,080
....
40,080

86,288

24,352
....
24,352

3,465

6,406
3,182
3,224

17,027

19,278
1,985
17,293

14,773

35,156
777
34,379

D. Net Errors and Omissions............................. 40999S N AA

....

446

694

1,200

21,908

647

786

E. Reserves and Related Items.......................... 4Z999S N AA

....

14,554

29,170

87,488

25,373

17,036

14,126

4,137

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

14,554
....
....

29,170
....
....

87,488
....
....

25,373
....
....

17,036
....
....

14,126
....
....

4,137
....
....

Conversion rates: Indian rupees per U.S.


dollar............................................................. RFZ F B

....

44.100

45.307

41.349

43.505

48.405

45.726

46.670

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

102,403
134,692

123,876
166,572

153,530
208,611

199,065
291,740

32,289

42,696

55,081

92,675

79,950

52,179
47,166

69,440
58,514

86,552
70,175

106,054
87,739

92,889
80,349

96,239 116,413

27,276

31,770

38,704

74,360

67,410

5,646
12,296

8,199
14,445

12,650
19,166

15,593
20,958

13,733
21,272

89,264 103,680
9,609
24,729

10,038
27,970

52,065
3,313

50,526
1,764

54,379
2,270

64,069
2,495

....

....

293

52

66

....
....

....
....

639
346

695
643

937
871

74,949 104,384 121,612

3,351

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
426
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

India

534
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to Q1 2009 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 10,284
9,299
8,076 30,972
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 27,276 31,770 38,704 74,360
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

26,186
67,410
260,847
328,257
79,950
167,958
168,220
262
....
247,908
230,811
....
12,540
92,889
80,349
....
....
....
....
11,232
....
....

52,275 60,038
89,264 103,680
349,976 436,712
439,240 540,392
96,239 116,413
225,915 299,387
225,930 299,034
15
353
....
....
322,154 415,800
292,955 364,064
29,200
51,735
6,975
12,733
124,061 137,325
117,086 124,592
....
....
....
....
....
....
....
....
13,276
17,510
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

154,582
181,858
32,289
102,403
102,175
228
....
134,692
134,692
....
5,013
52,179
47,166
....
....
....
....
6,537

193,316
225,086
42,696
123,876
123,768
108
....
166,572
166,572
....
10,926
69,440
58,514
....
....
....
....
8,652

240,082
278,786
55,081
153,530
153,784
254
....
208,611
208,611
....
16,378
86,552
70,175
....
....
....
....
10,211

305,119
379,479
92,675
199,065
198,598
467
....
291,740
291,740
....
18,315
106,054
87,739
....
....
....
....
12,804

20,887

25,159

31,267

43,188

35,678
....
....

46,317
....
....

56,707
....
....

7,493
....
7,493
6,187
1,601
4,586
38,149
346
941
1,143
206
22,658
12,416
111
328
20,093
602
2,330
869
672
1,475
13,574
105
467

8,634
....
8,634
6,845
996
5,849
52,154
619
1,113
2,357
61
30,179
17,245
306
274
26,510
794
2,671
1,950
846
2,260
17,411
104
474

10,729
....
10,729
8,219
894
7,325
65,612
753
1,506
3,379
163
38,665
20,320
509
317
30,689
728
3,189
3,236
1,160
4,015
17,773
169
418

11,832
....
11,832
9,606
960
8,646
81,418
841
1,561
4,291
148
50,351
23,134
707
386
34,946
704
4,332
3,545
1,529
4,309
19,700
325
501

11,136
....
11,136
9,310
3,065
6,245
70,521
809
1,515
3,617
192
48,385
13,240
2,359
405
35,362
1,079
4,019
3,759
1,860
3,240
16,876
3,807
722

14,160
....
14,160
10,549
4,014
6,535
96,625
525
1,781
5,834
128
55,928
20,793
11,151
485
60,219
992
4,981
6,787
2,438
3,617
25,547
15,155
702

17,518
....
17,518
13,722
7,077
6,645
102,297
838
2,573
6,234
302
62,763
21,681
7,313
593
54,163
1,132
6,052
8,211
2,820
3,196
25,458
6,451
843

....
....
....
....
....
....
....
....
....
....
....

6,650
5,646
12,296
266
987
5,380
1,057
1,057
176
881
....

6,245
8,199
14,445
309
858
7,891
1,490
1,490
411
1,080
....

6,516
12,650
19,166
447
1,055
12,203
1,594
1,594
512
1,082
....

5,364
15,593
20,958
798
1,330
14,796
1,476
1,476
393
1,083
....

7,539
13,733
21,272
872
1,525
12,653
1,432
1,432
349
1,084
....

15,120
9,609
24,729
991
1,972
7,786
1,354
1,354
270
1,084
....

17,932
10,038
27,970
2,240
1,974
7,069
1,824
1,824
647
1,177
....

166
4,245
2,126

2,090
14,921
3,876

281
5,251
3,119

1,893
18,572
4,695

504
6,216
3,491

2,471
23,736
5,060

630
7,910
4,264

2,477
33,606
7,104

9,361

29,185

13,276

46,317

17,510

56,707

_______________________________________________________________________________________________________________________________
427
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

India

534
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

150
....
....
....
150
4,172
....
4,172
....
....
....
....
11,309
5,244
5,244
2,698
2,546
....
612
....
....
....
612
5,453
....
5,453
....
....
....

57
....
....
....
57
6,343
....
6,343
....
....
....
....
13,587
7,738
7,738
2,677
5,061
....
107
....
....
....
107
5,743
....
5,743
....
....
....

41
....
....
....
41
10,569
....
10,569
....
....
....
....
18,110
10,910
10,910
3,693
7,217
....
53
....
....
....
53
7,147
....
7,147
....
....
....

135
....
....
....
135
13,185
....
13,185
....
....
....
....
19,628
11,989
11,989
3,295
8,694
....
88
....
....
....
88
7,551
....
7,551
....
....
....

....
....
....
....
....
6,355
....
6,355
....
....
....
....
19,565
12,279
12,279
3,520
8,758
....
200
....
....
....
200
7,081
....
7,081
....
....
....

....
....
....
....
....
2,284
....
2,284
....
4,148
4,148
....
22,535
15,344
15,344
4,222
11,122
....
313
....
....
....
313
6,861
....
6,861
....
832
222

....
....
....
....
....
1,024
....
1,024
....
4,221
4,221
....
25,749
16,787
16,787
5,612
11,175
....
246
....
....
....
246
8,694
....
8,694
....
729
247

....
....
....
....
....
....
....
....
....
....
....

23,643
24,512
603
23,909
21,859
2,050
869
394
476
361
114

28,716
30,015
768
29,247
28,025
1,223
1,299
442
857
704
153

37,144
38,885
666
38,220
36,770
1,450
1,742
508
1,234
1,004
230

48,752
52,065
731
51,334
49,180
2,155
3,313
418
2,895
2,482
412

48,763
50,526
....
50,365
48,332
2,034
1,764
....
1,653
1,365
288

52,109
54,379
....
54,379
52,489
1,890
2,270
....
2,270
1,881
389

61,574
64,069
....
64,069
61,578
2,491
2,495
....
2,495
2,123
372

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

293
38
15
601
601
....
601
....
331
331
....
331
....

52
27
24
668
668
....
668
....
619
619
....
619
....

66
297
270
640
640
....
640
....
601
601
....
601
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

10,730

8,605

6,875

9,064

25,885

52,870

60,758

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

4,629
2,641
2,349
1,468
1,468
....
....
881
292
629
337
....

5,992
14,037
12,821
11,741
11,741
....
....
1,080
1,216
1,523
307
....

8,202
17,026
15,049
13,967
13,967
....
....
1,082
1,977
2,232
255
....

24,150
19,257
15,211
14,127
14,127
....
....
1,083
4,046
4,046
....
....

19,486
16,096
12,748
11,664
11,664
....
....
1,084
3,348
3,348
....
....

11,013
15,489
8,829
7,745
7,745
....
....
1,084
6,660
6,660
....
....

17,354
14,836
5,830
4,653
4,653
....
....
1,177
9,006
9,006
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
428
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

India

534
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

7,269
7,269
4,723
4,723
....
....
2,546
....
....
....
....

20,029
20,029
14,968
14,968
....
....
5,061
....
....
....
....

25,228
24,928
17,711
17,711
....
....
7,217
300
300
....
....

43,406
42,690
33,996
33,996
....
....
8,694
716
716
....
....

35,581
34,111
25,353
25,353
....
....
8,758
1,470
1,470
....
....

26,502
26,485
15,363
15,363
....
....
11,122
17
17
....
....

32,190
29,640
18,465
18,465
....
....
11,175
2,550
2,550
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

12,144
7
7
....
....
....
7
....
....
....
....
....
....
....
12,151
12,151
....
....
....
....
....
....
....
....
....
....
....

9,546
37
37
....
....
....
37
....
....
....
....
....
....
....
9,509
9,509
....
....
....
....
....
....
....
....
....
....
....

33,016
153
153
....
....
....
153
....
....
....
....
....
....
....
32,863
32,863
....
....
....
....
....
....
....
....
....
....
....

15,075
45
45
....
....
....
45
....
....
....
....
....
....
....
15,030
15,030
....
....
....
....
....
....
....
....
....
....
....

17,757
174
....
....
....
....
....
....
....
....
....
....
....
....
17,931
24,689
....
....
....
....
....
6,758
....
....
....
....
....

36,876
1,110
....
....
....
....
....
....
....
....
....
....
....
....
37,986
30,442
....
....
....
....
....
7,544
....
....
....
....
....

2,664
46
....
....
....
....
....
....
....
....
....
....
....
....
2,710
4,137
....
....
....
....
....
6,847
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8,511
4,432
....
4,432
....
1,100
74
3,258
....
12,943
....
....
12,943
598
4,562
1,882
5,901
....

22,237
2,789
....
2,789
....
4,489
25
1,725
....
25,026
....
....
25,026
453
3,839
1,417
19,317
....

53,146
13,065
....
13,065
....
4,510
6
8,562
....
40,080
....
....
40,080
280
3,385
1,908
35,068
....

25,362
1,010
....
1,010
....
1,487
259
218
....
24,352
....
....
24,352
533
4,888
2,659
17,339
....

5,678
728
....
728
....
....
365
2,557
....
6,406
3,182
5,148
1,924
256
2,390
2,935
7,505

19,107
171
....
171
....
....
111
60
....
19,278
1,985
....
17,293
527
5,365
5,326
7,129

36,603
1,447
....
1,447
....
....
24
1,471
....
35,156
777
....
34,379
923
12,156
2,867
18,433

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

14,554
....
....
405
14,959

29,170
....
4
388
29,562

87,488
....
2
140
87,626

25,373
....
....
383
24,990

17,036
....
5,145
591
11,300

14,126
....
....
966
13,160

4,137
....
651
1,577
5,063

NET ERRORS AND OMISSIONS.........................

....

446

694

1,200

21,908

647

786

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

509

12,736

8,517

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
429
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

India

534
Table 3. IIP: (End-March following year stocks) 2005; (End-period stocks)2006-2011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

426,700
96,421
74,221
74,221
....
....
22,200
22,200
....
....
1,818
1,766
....
507
....
1,259
....
52
....
39
....
13
....
....
30,711
....
30,711
....
17,854
1,752
11,105
....
297,749
22,473
5,078
2,385
267,815

431,386
108,836
80,099
80,099
....
....
28,737
28,737
....
....
1,323
1,301
....
477
....
824
....
21
....
....
....
21
....
....
23,278
....
23,278
....
18,166
1,727
3,385
....
297,950
26,624
4,429
3,923
262,974

634,986
204,668
198,259
198,259
....
....
6,409
6,409
....
....
165,096
132,085
....
....
....
132,085
....
33,011
....
320
4,029
28,663
....

642,509
203,877
195,030
195,030
....
....
8,847
8,847
....
....
143,716
107,954
....
....
....
107,954
....
35,762
....
293
8,943
26,526
....

Data reported to the IMF on a BPM5 basis for 2005 to 2008 are re- arranged to a BPM6 presentation
for publication purposes. Data reported on a BPM6 basis for later periods
ASSETS.............................................................. 80999S A AA
. . . . 181,093 231,642 335,780 332,167
Direct investment............................................. 8A9999 A AA
....
12,832
27,036
44,080
62,451
Equity and investment fund shares................. 8AA000 A AA
....
11,176
24,110
38,948
53,442
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

11,176
....
....
1,657
1,657
....
....
962
491
....
438
....
53
....
471
....
461
....
10
....
....
17,053
....
17,053
....
13,493
1,531
2,029
....
150,246
5,697
4
902
143,643

24,110
....
....
2,925
2,925
....
....
1,115
656
....
334
....
322
....
459
....
450
....
8
....
....
26,297
....
26,297
....
20,276
1,559
4,463
....
177,195
6,515
1
550
170,130

38,948
....
....
5,132
5,132
....
....
724
566
....
361
....
206
....
158
....
155
....
3
....
....
15,695
....
15,695
....
10,694
1,683
3,318
....
275,281
8,327
3
432
266,519

53,442
....
....
9,009
9,009
....
....
514
494
....
327
....
167
....
20
....
17
....
3
....
....
13,324
....
13,324
....
13,875
1,486
2,037
....
255,877
8,484
3
813
246,577

385,878
80,839
65,316
65,316
....
....
15,523
15,523
....
....
1,029
987
....
256
....
731
....
42
....
12
....
30
....
....
20,536
....
20,536
....
14,501
1,648
4,387
....
283,474
18,292
5,169
1,430
258,583

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

229,503
50,614
47,349
47,349
....
....
3,265
3,265
....
....
63,970
54,184
....
....
....
54,184
....
9,786
....
528
176
9,082
....

292,349
70,870
67,320
67,320
....
....
3,550
3,550
....
....
74,179
60,512
....
....
....
60,512
....
13,667
....
532
597
12,537
....

410,546
105,790
101,568
101,568
....
....
4,222
4,222
....
....
122,599
101,680
....
....
....
101,680
....
20,919
....
551
1,026
19,343
....

418,047
123,294
118,210
118,210
....
....
5,084
5,084
....
....
91,581
69,026
....
....
....
69,026
....
22,555
....
608
2,340
19,606
....

517,771
171,218
164,374
164,374
....
....
6,844
6,844
....
....
117,085
93,320
....
....
....
93,320
....
23,766
....
299
2,247
21,220
....

_______________________________________________________________________________________________________________________________
430
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

India

534
Table 3 (Concluded). IIP: (End-March following year stocks) 2005; (End-period stocks)2006-2011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Indian rupees per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
114,919
....
974
113,945
1,015
36,326
44,867
31,736
....

....
147,300
....
1,025
146,275
996
42,788
47,201
55,291
....

....
182,156
....
1,076
181,080
1,095
45,442
50,932
83,611
....

....
203,172
....
1,049
202,123
774
42,592
54,758
103,998
....

....
229,467
....
6,237
223,231
662
50,452
63,136
108,981
....

....
265,222
....
6,127
259,095
665
54,292
68,826
135,312
....

....
294,917
....
6,108
288,809
118
57,702
70,945
160,044
....

....

48,410

60,707

74,766

85,880 131,893 208,287 211,123

....

45.065

44.245

39.415

48.455

46.680

44.810

53.260

_______________________________________________________________________________________________________________________________
431
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Indonesia

536
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
278
10,859
10,493
125
10,628
5,144

2,070

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

2005

2007

2008

2009

17,611

98,251
66,053

32,198

111,303
76,775

132,210
107,668

113,266
80,979

149,966
118,560

191,713
156,869

....
....
....

13,545
22,744

8,411

11,584
23,996

19,786

12,561
26,175

20,913

15,401
30,025

9,917

13,245
24,341

21,191

16,883
26,985

21,304

21,395
32,714

23,525

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

2,338
15,264

4,515

2,587
16,377

3,469
18,994

5,389

3,592
18,747

5,238

1,921
17,061

1,890
22,680

514

2,477
28,144

2,142

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

5,993
1,200

6,079
1,216

6,801
1,697

7,352
1,989

7,241
2,663

7,571
2,941

7,636
3,423

B. Capital Account........................................... 20999F B AA

....

334

350

546

294

96

50

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

334
....

611

350
....

11,210

546
....

11,039

294
....

420

96
....

10,724

50
....

5,194

1
....

2,071

C. Financial Account......................................... 30999F N AA

....

2,587

2,674

3,045

2,126

4,757

26,571

14,017

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

3,065
331
2,734

2,726
609
2,117

4,675
997
3,678

5,900
1,420
4,480

2,249
1,524
725

2,664
1,041
1,623

7,722
3,471
4,251

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

8,336
7,812
524

4,914
4,616
298

6,928
7,549
621

9,318
9,105
213

4,877
4,982
104

13,771
12,468
1,302

18,160
14,793
3,367

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,080
38
1,118

1,830
10
1,841

4,415
217
4,199

1,294
298
996

144
363
219

2,511
96
2,415

1,416
341
1,075

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

5,270
165
5,435

6,107
1,898
4,210

9,981
3,559
6,422

3,059
322
2,736

10,480
787
9,693

15,713
2,132
13,582

5,614
326
5,941

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

8,646
....
8,646

1,587
....
1,587

4,486
....
4,486

10,755
....
10,755

12,002
....
12,002

1,725
....
1,725

7,341
....
7,341

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

3,401
....
3,401

2,204
....
2,204

289
....
289

3,446
....
3,446

3,795
....
3,795

3,987
....
3,987

6,723
....
6,723

D. Net Errors and Omissions............................. 40999S N AA

....

136

1,074

1,378

212

2,976

1,480

4,232

E. Reserves and Related Items.......................... 4Z999S N AA

....

2,111

14,958

12,706

1,918

12,506

30,284

11,856

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

657
1,144
2,598

6,903
8,055
....

12,706
....
....

1,918
....
....

12,506
....
....

30,284
....
....

11,856
....
....

Conversion rates: rupiah per U.S. dollar........... RFZ F B

....

9,704.7

9,159.3

9,141.0

9,699.0 10,389.9

9,090.4

8,770.4

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

81,682
64,071

2006

1,975

5,996

13,884

34,527

14,084

24,542

1,707

32,287

6,051

15,481

31,406

31,765

34,844

16,088

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
432
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Indonesia

536
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
278
10,859
10,493
125
10,628
5,144
GOODS AND SERVICES..................................... 1Z9999 B XN
....
8,411
19,786
20,913
9,917
21,191
21,304
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

95,227
86,816
17,611
81,682
81,446
....
236
64,071
64,071
....
9,200
13,545
22,744
574
548
44
148
2,842

109,835
90,049
32,198
98,251
97,713
....
538
66,053
66,053
....
12,412
11,584
23,996
....
2,435
64
167
2,102

123,864
102,951
34,527
111,303
110,601
....
701
76,775
76,775
....
13,614
12,561
26,175
....
1,597
74
250
2,206

147,610
137,693
24,542
132,210
131,360
....
850
107,668
107,643
25
14,625
15,401
30,025
....
1,555
154
225
2,800

126,511
105,320
32,287
113,266
112,413
....
854
80,979
80,956
23
11,096
13,245
24,341
17
1,189
72
256
2,439

166,849
145,545
31,406
149,966
148,866
....
1,099
118,560
118,477
83
10,102
16,883
26,985
52
672
65
224
2,665

2,070
23,525
213,108
189,583
34,844
191,713
190,028
....
1,685
156,869
156,793
76
11,319
21,395
32,714
789
152
74
207
3,425

7,451

8,181

9,501

13,895

6,522

8,673

12,139

4,522
1,357
3,165
3,584
1,076
2,509
5,563
484
15
367
263
1,146
2,876
57
355
11,014
726
338
539
961
1,055
7,017
166
212

4,448
1,334
3,114
4,030
1,247
2,783
4,970
456
32
183
13
1,220
2,564
74
427
9,183
986
384
346
872
1,166
5,086
124
219

5,346
1,604
3,742
4,904
1,536
3,368
4,935
459
19
289
31
1,484
2,185
55
414
9,924
740
664
373
1,085
1,320
5,380
107
254

7,377
2,213
5,164
5,554
1,763
3,791
5,069
667
20
304
27
1,274
2,184
77
515
8,796
749
683
342
1,328
1,489
3,829
126
251

5,598
1,816
3,782
5,316
1,554
3,762
5,119
586
21
178
38
1,157
2,527
75
537
11,058
798
1,318
405
1,530
1,094
5,525
126
260

6,958
2,242
4,716
6,395
2,000
4,394
7,142
520
22
332
60
1,240
4,309
104
555
11,022
592
1,153
450
1,616
1,131
5,456
133
490

7,953
2,575
5,378
7,279
2,276
5,003
9,153
549
23
407
78
1,624
5,725
157
591
12,936
489
1,290
635
1,786
1,518
6,471
212
535

....
....
....
....
....
....
....
....
....
....
....

12,927
2,338
15,264
123
344
2,214
209
203
....
....
6

13,790
2,587
16,377
162
299
2,425
116
106
....
....
10

15,525
3,469
18,994
171
483
3,299
299
239
....
....
60

15,155
3,592
18,747
176
560
3,415
369
343
....
....
26

15,140
1,921
17,061
175
953
1,746
212
198
....
....
15

20,790
1,890
22,680
181
962
1,709
139
120
....
....
19

25,667
2,477
28,144
188
1,073
2,289
195
181
....
....
14

572
1,733
538
1,156
6,063
231

442
1,331
329
1,428
6,478
275

485
1,365
356
1,674
7,483
343

773
1,565
462

3,247
10,260
388

456
1,498
485

1,592
4,704
226

660
1,479
526
2,037
6,326
310

1,041
1,836
548
2,398
9,322
419

_______________________________________________________________________________________________________________________________
433
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Indonesia

536
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,258
272
....
....
987
747
....
747
....
....
....
....
14,920
9,525
9,379
....
....
146
1,715
1,495
....
....
220
3,680
....
3,680
....
....
....

1,382
160
....
....
1,221
928
....
928
....
....
....
....
16,078
9,637
9,508
....
....
129
2,898
1,244
....
....
1,654
3,542
....
3,542
....
....
....

1,827
312
....
....
1,515
1,173
....
1,173
....
....
....
....
18,511
10,813
10,598
....
....
215
3,779
1,775
....
....
2,004
3,919
....
3,919
....
....
....

2,349
218
....
....
2,131
698
....
698
....
....
....
....
18,188
10,675
10,495
....
....
180
4,121
1,745
....
....
2,376
3,391
....
3,391
....
....
....

1,249
288
....
....
961
285
....
285
....
....
....
....
16,108
8,848
8,682
....
....
165
4,509
2,102
....
....
2,407
2,751
....
2,751
....
....
....

1,360
358
....
....
1,002
209
....
209
....
....
....
....
21,717
12,844
12,582
....
....
262
6,265
2,590
....
....
3,675
2,608
....
2,608
....
....
....

1,661
285
....
....
1,376
434
....
434
....
....
....
....
27,072
17,122
16,863
....
....
260
7,428
2,886
....
....
4,542
2,521
....
2,521
....
....
....

....
....
....
....
....
....
....
....
....
....
....

4,793
5,993
44
5,949
5,296
653
1,200
....
1,200
834
365

4,863
6,079
22
6,057
5,560
497
1,216
....
1,216
1,060
156

5,104
6,801
180
6,621
6,004
617
1,697
....
1,697
1,171
525

5,364
7,352
189
7,163
6,618
545
1,989
....
1,989
1,412
577

4,578
7,241
89
7,152
6,618
534
2,663
....
2,663
1,748
915

4,630
7,571
287
7,285
6,735
550
2,941
....
2,941
1,877
1,063

4,212
7,636
329
7,307
6,736
571
3,423
7
3,416
2,091
1,325

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

334
....
....
334
27
....
27
307
....
....
....
....
....

350
....
....
350
89
....
89
261
....
....
....
....
....

546
....
....
546
81
....
81
465
....
....
....
....
....

294
....
....
294
21
....
21
273
....
....
....
....
....

96
....
....
96
11
....
11
85
....
....
....
....
....

50
....
....
50
32
....
32
18
....
....
....
....
....

1
....
....
1
1
....
1
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

475

12,283

9,661

208

7,749

3,714

2,162

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

5,271
3,065
331
331
331
....
....
....
2,734
2,734
....
....

2,188
2,726
609
609
609
....
....
....
2,117
2,117
....
....

2,253
4,675
997
997
997
....
....
....
3,678
3,678
....
....

3,419
5,900
1,420
1,420
1,420
....
....
....
4,480
4,480
....
....

2,628
2,249
1,524
1,524
1,524
....
....
....
725
725
....
....

11,106
2,664
1,041
1,041
1,041
....
....
....
1,623
1,623
....
....

10,437
7,722
3,471
3,471
3,471
....
....
....
4,251
4,251
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
434
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Indonesia

536
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

8,336
7,812
7,812
7,812
....
....
....
524
524
....
....

4,914
4,616
4,616
4,616
....
....
....
298
298
....
....

6,928
7,549
7,549
7,549
....
....
....
621
621
....
....

9,318
9,105
9,105
9,105
....
....
....
213
213
....
....

4,877
4,982
4,982
4,982
....
....
....
104
104
....
....

13,771
12,468
12,468
12,468
....
....
....
1,302
1,302
....
....

18,160
14,793
14,793
14,793
....
....
....
3,367
3,367
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,190
1,080
38
....
....
....
38
....
1,118
....
....
....
1,118
....
5,270
165
....
....
....
165
....
5,435
677
....
4,149
609
....

4,277
1,830
10
....
....
....
10
....
1,841
....
....
....
....
....
6,107
1,898
....
....
....
....
....
4,210
375
....
....
....
....

5,566
4,415
217
....
....
....
217
....
4,199
....
....
....
....
....
9,981
3,559
....
....
....
....
....
6,422
1,233
....
....
....
....

1,764
1,294
298
....
....
....
298
....
996
....
....
....
....
....
3,059
322
....
....
....
....
....
2,736
1,980
91
5,341
534
....

10,336
144
363
....
....
....
363
....
219
....
....
....
....
....
10,480
787
....
....
....
....
....
9,693
3,558
65
6,020
50
....

13,202
2,511
96
....
....
....
96
....
2,415
....
....
....
....
....
15,713
2,132
....
....
....
....
....
13,582
2,566
....
10,960
56
....

4,198
1,416
341
....
....
....
341
....
1,075
....
....
....
....
....
5,614
326
....
....
....
....
....
5,941
5,266
....
6,093
5,114
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

10,593
8,646
....
8,646
....
4,662
....
3,984
....
1,948
....
....
1,948
1,144
1,150
848
1,194
....

11,845
1,587
....
1,587
....
1,719
....
3,306
....
10,258
....
....
10,258
8,583
924
1,967
632
....

4,775
4,486
....
4,486
....
2,334
....
6,820
....
289
....
....
289
45
796
2,318
1,279
....

7,309
10,755
....
10,755
....
4,830
....
5,925
....
3,446
....
....
3,446
71
2,048
1,365
2,834
....

8,208
12,002
....
12,002
101
6,800
....
5,303
....
3,795
....
2,721
1,074
68
114
1,127
2,382
....

2,262
1,725
....
1,725
1
2,695
....
4,421
....
3,987
....
....
3,987
1,971
1,076
215
1,155
....

618
7,341
....
7,341
2
2,221
....
9,561
....
6,723
....
....
6,723
312
2,233
1,946
6,748
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

657
143
7
....
522

6,903
307
8
....
7,202

12,706
....
10
....
12,715

1,918
....
26
....
1,945

12,506
....
2,719
....
9,786

30,284
....
1
....
30,285

11,856
....
1
....
11,857

NET ERRORS AND OMISSIONS.........................

....

136

1,074

1,378

212

2,976

1,480

4,232

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
435
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Indonesia

536
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
64,290
82,664 104,522
88,035 116,249 149,981
Direct investment............................................. 8A9999 A AA
....
1,914
9,274
10,176
10,513
16,742
19,293
Equity and investment fund shares................. 8AA000 A AA
....
308
3,046
4,172
4,404
9,182
10,359
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

234
75
....
1,606
190
1,416
....
2,510
94
....
....
....
93
....
2,416
....
2,303
....
113
....
27
25,115
....
25,115
4,155
9,775
844
10,340
....
34,724
1,583
7
208
32,926

3,037
9
....
6,228
4,328
1,901
....
3,744
354
....
....
....
354
....
3,390
....
2,853
....
537
....
19
27,040
....
27,040
8,615
7,582
642
10,200
....
42,587
1,483
18
219
40,866

4,165
7
....
6,005
5,347
658
....
3,598
865
....
....
....
865
....
2,733
....
1,942
....
791
....
38
33,788
....
33,788
14,884
5,638
610
12,656
....
56,922
1,946
9
230
54,737

4,396
8
....
6,108
5,319
789
....
4,312
488
....
....
....
488
....
3,823
....
2,246
....
1,577
....
170
21,402
....
21,402
189
11,047
543
9,623
....
51,638
2,041
34
224
49,339

9,172
10
....
7,560
6,009
1,551
....
4,192
851
....
....
....
851
....
3,341
....
1,961
....
1,380
....
76
29,123
....
29,123
152
17,612
606
10,752
....
66,116
2,552
2,763
228
60,572

10,350
9
....
8,934
7,108
1,826
....
6,829
947
....
....
....
947
....
5,881
2,021
1,815
....
2,046
....
81
27,571
....
27,571
151
14,363
633
12,424
....
96,207
3,299
2,714
224
89,970

167,131
19,998
10,183
10,171
12
....
9,814
7,898
1,916
....
8,297
1,257
....
....
....
1,257
....
7,040
1,803
1,820
....
3,418
....
101
28,603
....
28,603
150
10,885
697
16,871
....
110,132
3,593
2,704
223
103,611

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

189,486
44,863
37,762
37,728
34
....
7,100
4,949
2,151
....
34,592
15,854
....
6,021
....
9,833
....
18,738
1,503
2,724
6,683
7,828
....

219,880
62,767
51,829
51,768
60
....
10,938
4,676
6,263
....
56,162
31,519
....
10,635
....
20,883
....
24,643
2,002
2,865
11,030
8,746
....

274,068
86,910
74,274
73,917
357
....
12,636
6,675
5,961
....
71,421
41,416
....
13,629
....
27,787
....
30,005
2,971
4,169
14,668
8,197
....

236,158
79,938
65,165
64,799
366
....
14,773
8,226
6,547
....
45,348
14,983
....
5,506
....
9,477
....
30,365
772
3,154
18,433
8,006
....

329,973
121,625
103,122
102,810
312
....
18,503
7,547
10,956
....
95,641
53,293
....
16,334
....
36,959
....
42,348
4,700
2,927
25,832
8,889
....

441,043
173,356
151,018
150,624
394
....
22,339
11,947
10,392
....
146,148
88,847
....
25,443
....
63,404
....
57,302
6,109
2,848
38,761
9,584
....

486,126
199,598
170,883
170,507
375
....
28,715
17,225
11,491
....
152,784
89,254
....
26,959
....
62,295
....
63,529
860
4,657
44,604
13,409
....

_______________________________________________________________________________________________________________________________
436
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Indonesia

536
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: rupiah per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

43
109,989
....
342
109,647
9,176
5,061
62,805
32,604
....

22
100,929
....
359
100,570
763
5,594
62,021
32,192
....

22
115,714
....
378
115,336
15,512
5,765
62,253
31,807
....

221
110,651
....
368
110,283
693
8,429
66,689
34,472
....

78
112,629
....
3,105
109,525
619
6,603
65,021
37,282
....

57
121,481
....
3,050
118,431
2,605
9,659
68,099
38,069
....

87
133,658
....
3,041
130,617
2,324
12,675
67,823
47,794
....

. . . . 125,197 137,216 169,546 148,123 213,724 291,062 318,995


....

9,830.0

9,020.0

9,419.0 10,950.0

9,400.0

8,991.0

9,068.0

_______________________________________________________________________________________________________________________________
437
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iraq

433
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
7,513
1,252
14,056
28,280
1,152
6,488

26,203

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

23,697
20,002

3,695

11,822

79,684
40,633

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

355
6,095

357
5,490

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

6,571

3,144

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

552
1,493

B. Capital Account........................................... 20999F B AA

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

3,624

4,021

14,732

28,721

1,142

6,514

26,214

C. Financial Account......................................... 30999F N AA

....

1,350

3,067

5,274

986

3,084

7,703

13,100

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

89
89
....

305
305
....

8
8
....

34
34
....

72
72
....

125
125
....

366
366
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

515
515
....

383
383
....

972
972
....

1,856
1,856
....

1,598
1,598
....

1,396
1,396
....

1,396
1,396
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,968
....
1,968

3,670
....
3,670

1,774
....
1,774

2,807
....
2,807

3,646
....
3,646

727
....
727

6,572
....
6,572

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

9
9
....

3
3
....

57
57
....

94
94
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

283
....
283

1,847
....
1,847

4,939
....
4,939

42
....
42

5,362
....
5,362

5,310
....
5,310

8,226
....
8,226

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

474
....
474

1,322
....
1,322

474
....
474

51
....
51

3,270
....
3,270

338
....
338

574
....
574

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

4,338
....
8,861

Conversion rates: New Iraqi dinars per U.S.


dollar............................................................. RFZ F B

. . . . 1,472.00 1,467.42 1,254.57 1,193.08 1,170.00 1,170.00 1,170.00

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

2006

30,529
18,708

2007

39,587
16,623

2008

2009

22,965

63,728
29,761

33,967

39,429
35,285

51,760
37,328

4,145

14,432

39,051

868
4,866

1,496
7,572

2,193
8,563

2,834
9,864

2,823
11,080

2,044

6,689

18,967

27,891

2,225

7,402

30,794

680
5,207

1,206
4,751

1,923
4,990

15,900

4,039
554

31,376

3,412
317

870

2,080
487

8,996

1,091
1,292

30,592

261
2,153

89
1,932

188
3,284

221
2,243

241
2,748

367
4,757

3,889

2,769

675

441

10

25

11

3,889
....

2,769
....

675
....

441
....

12
2

25
....

11
....

4,974

954

9,457

27,735

1,942

14,217

13,114

451

579

3,662

4,523

1,533

5,795

9,244

7,787

9,151

3,194

18,491

5,845

5,066

7,363
....
5,830

11,340
468
6,013

18,651
....
160

9,920

5,822
....
23

6,266
1,200
....

10,393
469
4

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
438
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iraq

433
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
3,335
2,681
15,519
28,440
1,129
6,488
GOODS AND SERVICES..................................... 1Z9999 B XN
....
2,044
6,689
18,967
27,891
2,225
7,402
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

24,053
26,097
3,695
23,697
23,697
....
....
20,002
20,002
....
5,739
355
6,095
....
....
....
....
177

30,887
24,198
11,822
30,529
30,529
....
....
18,708
18,708
....
5,133
357
5,490
....
....
....
....
208

40,455
21,488
22,965
39,587
39,587
....
....
16,623
16,623
....
3,998
868
4,866
....
....
....
....
260

65,225
37,333
33,967
63,728
63,726
2
....
29,761
29,761
....
6,076
1,496
7,572
....
....
....
....
375

41,623
43,848
4,145
39,429
39,430
1
....
35,285
35,285
....
6,370
2,193
8,563
....
....
....
....
254

54,594
47,192
14,432
51,760
51,764
3
....
37,328
37,328
....
7,030
2,834
9,864
....
....
....
....
389

26,207
30,794
82,506
51,713
39,051
79,684
79,681
3
....
40,633
40,633
....
8,258
2,823
11,080
....
....
....
....
444

2,811

2,581

2,280

4,015

4,620

4,919

5,359

168
....
168
439
338
101
11
....
....
3
....
1
....
....
8
2,845
394
941
40
29
442
180
151
668

144
....
144
395
218
177
5
....
....
1
....
....
....
....
4
2,514
330
885
93
....
302
327
118
460

....
516
....
516
639
123
516
93
....
....
19
....
27
17
1
29
1,946
112
784
377
204
175
144
27
125

845
....
845
794
36
757
277
....
2
3
....
11
11
3
247
2,763
143
1,406
621
....
97
64
28
404

1,405
3
1,403
1,207
2
1,205
534
....
2
2
....
20
44
3
463
2,737
....
1,673
825
....
40
51
11
137

1,660
2
1,658
1,620
37
1,583
785
....
4
15
....
21
107
3
635
3,324
....
1,771
997
5
146
140
8
257

1,544
....
1,544
1,796
11
1,785
835
....
6
39
....
20
103
3
663
3,925
....
1,935
1,096
....
78
557
7
253

....
....
....
....
....
....
....
....
....
....
....

4,527
680
5,207
258
83
423
6
6
6
....
....

3,546
1,206
4,751
128
153
1,078
27
27
27
....
....

3,067
1,923
4,990
1
2
1,923
1
1
1
....
....

3,485
4,039
554
7
2
4,032
5
5
5
....
....

3,095
3,412
317
15
1
3,397
6
6
6
....
....

1,593
2,080
487
18
2
2,062
34
34
34
....
....

201
1,091
1,292
22
4
1,069
15
15
15
....
....

18
153
6

188
2,612
11

26
172
10

131
2,444
6

39
205
15

66
2,215

22
343
11

19
3,854
142

27
202
25

14
4,592
14

76
297
16

55
4,853
12

14
412
19

43
5,300
16

_______________________________________________________________________________________________________________________________
439
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iraq

433
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

185
6
....
....
179
233
....
233
....
....
....
....
5,125
36
36
36
....
....
....
....
....
....
....
5,089
....
5,089
....
....
....

592
....
....
....
592
459
....
459
....
....
....
....
4,598
67
67
67
....
....
....
....
....
....
....
4,531
....
4,531
....
....
....

1,047
....
....
....
1,047
874
....
874
....
....
....
....
4,989
346
346
346
....
....
2
2
....
....
....
4,640
....
4,640
....
....
....

2,465
....
....
....
2,465
1,562
....
1,562
....
....
....
....
552
267
267
267
....
....
....
....
....
....
....
285
....
285
....
....
....

1,418
....
....
....
1,418
1,973
....
1,973
....
....
....
....
316
83
83
83
....
....
....
....
....
....
....
233
....
233
....
....
....

1,824
....
....
....
1,824
204
....
204
....
....
....
....
484
60
60
60
....
....
....
....
....
....
....
425
....
425
....
....
....

631
....
....
....
631
424
....
424
....
....
....
....
1,288
138
138
138
....
....
....
....
....
....
....
1,151
....
1,151
....
....
....

....
....
....
....
....
....
....
....
....
....
....

3,236
4,729
4,178
552
454
98
1,493
1,153
340
....
340

462
1,691
1,429
261
261
....
2,153
1,520
632
629
4

381
1,551
1,463
89
3
86
1,932
1,889
43
16
28

2,936
348
163
185
64
121
3,284
3,166
118
30
88

1,998
245
23
221
137
85
2,243
2,163
80
25
55

2,507
241
....
241
159
82
2,748
2,589
159
46
113

4,386
371
7
364
364
....
4,757
4,369
388
249
139

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

20,489
....
....
20,489
20,489
16,952
3,537
....
....
....
....
....
....

17,984
....
....
17,984
17,984
15,215
2,769
....
....
....
....
....
....

675
....
....
675
675
....
675
....
....
....
....
....
....

441
....
....
441
441
....
441
....
....
....
....
....
....

10
....
....
12
12
....
12
....
2
2
....
2
....

25
....
....
25
25
....
25
....
....
....
....
....
....

11
....
....
11
11
....
11
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

17,604

21,245

12,532

19,637

8,906

2,637

23,024

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

427
89
89
89
89
....
....
....
....
....
....
....

78
305
305
305
305
....
....
....
....
....
....
....

964
8
8
8
8
....
....
....
....
....
....
....

1,822
34
34
34
34
....
....
....
....
....
....
....

1,526
72
72
72
72
....
....
....
....
....
....
....

1,271
125
125
125
125
....
....
....
....
....
....
....

1,030
366
366
366
366
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
440
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iraq

433
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

515
515
515
515
....
....
....
....
....
....
....

383
383
383
383
....
....
....
....
....
....
....

972
972
972
972
....
....
....
....
....
....
....

1,856
1,856
1,856
1,856
....
....
....
....
....
....
....

1,598
1,598
1,598
1,598
....
....
....
....
....
....
....

1,396
1,396
1,396
1,396
....
....
....
....
....
....
....

1,396
1,396
1,396
1,396
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,968
1,968
....
....
....
....
....
....
1,968
....
....
1,968
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,670
3,670
....
....
....
....
....
....
3,670
....
53
3,617
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,774
1,774
....
....
....
....
....
....
1,774
....
1
1,774
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,799
2,807
....
....
....
....
....
....
2,807
....
7
2,814
....
....
9
9
....
....
....
9
....
....
....
....
....
....
....

3,649
3,646
....
....
....
....
....
....
3,646
....
32
3,679
....
....
3
3
....
....
....
3
....
....
....
....
....
....
....

784
727
....
....
....
....
....
....
727
....
12
739
....
....
57
57
....
....
....
57
....
....
....
....
....
....
....

6,478
6,572
....
....
....
....
....
....
6,572
....
31
6,541
....
....
94
94
....
....
....
94
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

11,726
283
....
283
....
506
224
....
....
11,443
....
....
11,443
203
386
12,032
....
....

10,290
1,847
....
1,847
41
557
2,363
....
....
12,137
....
....
12,137
929
112
11,095
....
....

383
4,939
....
4,939
....
1,673
3,266
....
....
4,556
....
....
4,556
468
474
4,550
....
....

9
42
....
42
....
424
382
....
....
51
....
....
51
....
1,116
1,065
....
....

2,092
5,362
....
5,362
....
5,684
321
....
....
3,270
....
1,666
1,604
....
1,351
253
....
....

6,848
5,310
....
5,310
....
2,870
2,440
....
....
1,538
....
....
1,538
1,200
1,501
1,839
....
....

7,183
8,226
....
8,226
....
971
9,198
....
....
1,043
....
....
1,043
469
215
359
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

4,338
....
4
....
4,342

7,363
....
3
....
7,366

11,340
....
320
....
11,660

18,651
....
7
....
18,644

5,822
....
1,668
....
7,490

6,266
....
12
....
6,279

10,393
....
25
....
10,418

NET ERRORS AND OMISSIONS.........................

....

451

579

3,662

9,244

7,787

9,151

3,194

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
441
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iraq

433
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
....
33,908
48,744
68,391
67,820
68,963
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
420
245
....

....
....
....
....
....
....
....
8,117
....
....
....
....
....
....
8,117
....
108
8,008
....
....
....
5,751
....
5,751
....
5,751
....
....
....
20,041
120
439
257
19,225

....
....
....
....
....
....
....
7,466
....
....
....
....
....
....
7,466
....
107
7,359
....
....
....
9,822
....
9,822
....
7,424
2,399
....
....
31,455
158
140
270
30,888

....
....
....
....
....
....
....
10,274
....
....
....
....
....
....
10,274
....
101
10,173
....
....
....
7,912
....
7,912
....
7,891
21
....
....
50,206
163
143
264
49,636

....
....
....
....
....
....
....
6,627
....
....
....
....
....
....
6,627
....
133
6,495
....
....
....
16,857
....
16,857
....
13,475
3,383
....
....
44,336
208
1,818
268
42,041

....
....
....
....
....
....
....
5,925
....
....
....
....
....
....
5,925
....
145
5,756
25
....
....
12,395
....
12,395
....
10,705
1,691
....
....
50,643
266
1,774
263
48,340

86,838
....
....
....
....
....
....
....
....
....
12,573
....
....
....
....
....
....
12,573
....
175
12,297
101
....
....
13,224
....
13,224
....
9,016
4,208
....
....
61,041
297
1,744
263
58,738

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

83,995
898
....
....
....
....
898
898
....
....
1,177
16
....
....
....
16
....
1,161
....
....
1,161
....
....

84,778
1,870
....
....
....
....
1,870
1,870
....
....
799
40
....
....
....
40
....
759
....
....
759
....
....

75,587
3,726
....
....
....
....
3,726
3,726
....
....
889
40
....
....
....
40
....
849
....
....
849
....
....

80,876
5,582
....
....
....
....
5,582
5,582
....
....
1,338
117
....
....
....
117
....
1,221
....
....
1,221
....
....

73,538
7,033
....
....
....
....
7,033
7,033
....
....
1,152
117
....
....
....
117
....
1,035
....
....
1,035
....
....

73,679
8,803
....
....
....
....
8,803
8,803
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
442
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Iraq

433
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: New Iraqi dinars per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
81,920
....
103
81,817
447
8,286
73,085
....
....

....
82,109
....
108
82,001
....
8,760
73,241
....
....

....
70,972
....
105
70,867
....
7,753
63,114
....
....

....
73,956
....
1,779
72,177
....
9,110
63,068
....
....

....
65,352
....
1,747
63,605
1,190
7,615
54,801
....
....

....
64,876
....
1,742
63,134
1,642
225
61,267
....
....

....

....

50,088

36,034

7,196

13,055

4,574

13,160

. . . . 1,487.00 1,325.00 1,215.00 1,172.00 1,170.00 1,170.00 1,170.00

_______________________________________________________________________________________________________________________________
443
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ireland

178
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
7,150
7,859 13,850 15,297
5,001
2,319

2,514

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

107,765
67,730

111,171
73,075

127,365
88,122

129,849
84,326

118,215
62,768

118,792
62,124

126,704
67,111

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

54,981
71,437

65,070
80,289

81,172
94,912

89,061
110,874

83,960
103,788

89,096
107,301

104,664
115,756

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

7,434

123,774
160,909

76,470
115,256

75,669
109,973

77,748
122,079

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

40,035

38,096

39,243

45,523

23,711

55,447

22,877

25,503

53,862
84,876

83,138
113,283

7,267

116,528
154,622

12,590

13,424

....
....

6,963
6,679

6,645
7,237

6,704
7,964

8,013
9,886

7,552
9,386

6,615
8,455

7,457
9,115

B. Capital Account........................................... 20999F B AA

....

323

283

51

74

1,844

915

357

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

534
211

392
109

167
116

197
123

103
1,946

131
1,046

493
849

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

7,576

13,799

15,223

....

2,501

6,139

16,813

....
....
....

91,853
8,970
82,882

42,898
19,304
23,594

55,927
....
42,201

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

47,028
10,383
36,645

22,081
6,422
15,659

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

151,139
59,602
91,537

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

3,167

38,462

59,593

23,579

6,827

35,619

56,668

4,158

48,502

4,171

6,845

1,404

25,300

964

8,378

9,151

58,164
....
44,382

54,481
20,983
33,498

16,832
14,459
2,373

4,683
....
....

59,941
21,932
38,009

23,259
17,422
5,837

53,935
32,444
21,491

37,764
28,726
9,038

11,506
17,285
28,791

267,083
74,006
193,077

232,631
29,415
203,216

45,303
32,388
77,691

749
13,643
12,894

17,740
38,839
56,579

4,613
8,645
13,258

215,056
93,590
121,466

279,049
160,467
118,581

222,285
138,387
83,898

17,190
7,844
9,346

35,184
30,815
4,369

101,615
152,336
50,721

42,846
86,184
43,339

....
....
....

8,041
5,347
2,694

374
3,046
2,672

16,331
18,725
2,393

1,388
6,210
4,822

3,358
16,553
19,911

16,024
7,948
8,076

619
14,503
13,883

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

133,298
....
133,298

154,941
....
154,941

196,846
....
196,846

106,455
....
106,455

72,037
....
72,037

35,408
....
35,408

5,802
....
5,802

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

119,746
....
119,746

169,557
....
169,557

236,323
....
236,323

227,766 103,533
....
....
227,766 103,533

10,077

7,809

80,478
....
80,478

69,995
....
69,995

D. Net Errors and Omissions............................. 40999S N AA

....

7,552

1,324

2,998

9,921

8,843

9,823

10,602

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,776

112

16

157

1,034

42

17,596

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,776
....
....

112
....
....

16
....
....

157
....
....

1,034
....
....

42
....
....

398
17,198
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

9,328

1,437

3,014

9,781

2,157

6,994

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
444
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ireland

178
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
7,150
7,859 13,850 15,297
5,001
2,319
GOODS AND SERVICES..................................... 1Z9999 B XN
....
23,579
22,877
25,503
23,711
35,619
38,462
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

162,745
139,166
40,035
107,765
102,775
4,989
....
67,730
67,730
....
16,456
54,981
71,437
....
....
50
....
2,646

176,241
153,364
38,096
111,171
104,497
6,674
....
73,075
73,075
....
15,219
65,070
80,289
....
....
15
....
2,938

208,537
183,033
39,243
127,365
115,208
12,156
....
88,122
88,122
....
13,740
81,172
94,912
....
....
40
....
3,984

218,910
195,200
45,523
129,849
119,015
10,834
....
84,326
84,326
....
21,812
89,061
110,874
....
....
24
2
4,464

202,174
166,556
55,447
118,215
107,857
10,357
....
62,768
62,768
....
19,828
83,960
103,788
....
....
22
....
4,257

207,888
169,425
56,668
118,792
109,367
9,425
....
62,124
62,124
....
18,205
89,096
107,301
....
....
42
....
4,816

2,514
48,502
231,369
182,867
59,593
126,704
118,033
8,672
....
67,111
67,111
....
11,091
104,664
115,756
....
....
50
....
5,806

2,467

2,547

2,836

2,809

2,236

2,163

2,282

4,782
59
4,723
6,074
82
5,992
47,299
....
8,611
6,029
773
20,124
11,243
....
518
62,751
....
7,434
3,303
19,223
1,320
31,421
....
51

5,369
103
5,266
6,862
89
6,773
54,887
....
10,969
7,810
925
23,537
11,601
....
45
61,439
....
9,095
4,910
22,033
1,675
23,680
....
45

6,074
155
5,919
8,656
93
8,563
70,149
....
12,045
10,213
1,185
30,534
16,123
....
49
83,221
....
9,778
6,357
24,017
2,031
40,996
....
41

6,356
1,023
5,333
10,413
1,557
8,856
77,683
....
11,980
9,726
1,475
35,914
18,588
....
....
97,406
....
9,256
6,564
35,455
2,607
43,523
....
....

4,960
771
4,190
7,820
774
7,045
73,893
....
10,148
8,072
1,698
34,578
19,397
....
....
93,501
....
8,628
5,968
35,014
2,260
41,632
....
....

4,086
647
3,439
7,071
890
6,181
79,700
....
10,577
8,385
2,921
37,896
19,920
....
....
97,798
....
8,325
5,986
37,467
2,340
43,680
....
....

4,593
729
3,864
7,023
955
6,069
90,529
....
11,318
9,167
5,049
44,879
20,116
....
....
92,977
....
8,343
6,639
40,621
2,443
34,930
....
....

....
....
....
....
....
....
....
....
....
....
....

31,014
53,862
84,876
488
1,063
53,374
8,017
4,746
202
4,544
3,271

30,144
83,138
113,283
520
1,278
82,618
10,887
5,462
643
4,819
5,425

38,094
116,528
154,622
573
1,619
115,955
14,376
7,579
....
....
6,798

37,134
123,774
160,909
623
1,576
123,152
15,042
6,933
....
....
8,109

38,786
76,470
115,256
560
1,101
75,910
12,901
8,551
1,963
6,588
4,350

34,304
75,669
109,973
642
978
75,027
18,980
15,285
1,358
13,927
3,695

44,331
77,748
122,079
750
1,057
76,998
20,259
15,040
....
....
5,219

1,998
174
473
112
1,921
433

2,295
166
477
116
1,995
437

3,189
274
521
129
2,230
477

3,611
294
559
126
2,171
512

3,498
230
529
114
1,637
485

4,101
211
504
107
1,594
461

5,036
241
529
114
1,684
484

_______________________________________________________________________________________________________________________________
445
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ireland

178
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

27,708
4,411
....
....
23,297
17,649
....
17,649
....
....
....
....
83,813
40,889
38,126
32,446
5,680
2,763
23,545
13,472
....
....
10,073
19,379
....
19,379
....
....
....

41,974
7,841
....
....
34,132
29,758
....
29,758
....
....
....
....
112,005
39,375
36,882
25,187
11,695
2,493
42,018
21,455
....
....
20,563
30,612
....
30,612
....
....
....

56,497
8,502
....
....
47,995
45,082
....
45,082
....
....
....
....
153,003
50,590
47,982
23,142
24,840
2,608
58,212
28,060
....
....
30,152
44,201
....
44,201
....
....
....

60,142
8,995
....
....
51,148
47,967
....
47,967
....
....
....
....
159,332
45,306
42,284
19,711
22,572
3,022
63,396
27,573
....
....
35,824
50,630
....
50,630
....
....
....

35,482
5,605
....
....
29,877
27,527
....
27,527
....
....
....
....
114,155
48,659
46,132
22,208
23,924
2,527
39,221
15,275
....
....
23,946
26,275
....
26,275
....
....
....

33,259
7,173
....
....
26,087
22,787
....
22,787
....
....
....
....
108,995
49,816
47,737
20,856
26,881
2,079
39,495
18,493
....
....
21,002
19,684
....
19,684
....
....
....

32,215
7,452
....
....
24,763
24,524
....
24,524
....
....
....
....
121,022
57,242
51,263
19,135
32,127
5,980
42,547
20,077
....
....
22,470
21,233
....
21,233
....
....
....

....
....
....
....
....
....
....
....
....
....
....

284
6,963
271
6,693
25
6,668
6,679
1,975
4,704
378
4,327

592
6,645
239
6,407
19
6,388
7,237
2,258
4,979
575
4,405

1,260
6,704
220
6,484
16
6,467
7,964
2,779
5,184
902
4,283

1,873
8,013
118
7,894
10
7,884
9,886
2,885
7,001
1,096
5,905

1,834
7,552
67
7,485
13
7,472
9,386
2,836
6,550
1,448
5,101

1,840
6,615
76
6,539
16
6,523
8,455
2,451
6,004
1,289
4,715

1,657
7,457
65
7,392
5
7,387
9,115
2,534
6,581
1,241
5,340

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

323
153
116
381
376
....
376
5
95
....
....
....
95

283
35
14
357
355
....
355
2
95
....
....
....
95

51
....
12
167
167
....
167
....
104
....
....
....
104

74
....
16
197
197
....
197
....
106
....
....
....
106

1,844
....
1,857
103
103
....
103
....
89
....
....
....
89

915
21
959
110
110
....
110
....
88
....
....
....
88

357
175
766
318
318
251
67
....
83
....
....
....
83

FINANCIAL ACCOUNT........................................ 30999S N AA

....

724

6,251

16,797

25,144

1,998

8,419

8,445

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

44,824
91,853
8,970
4,426
4,426
....
....
4,544
82,882
4,869
78,014
....

20,817
42,898
19,304
14,485
14,485
....
....
4,819
23,594
966
24,560
....

4,014
55,927
....
....
....
....
....
....
42,201
7,101
35,100
....

34,905
58,164
....
....
....
....
....
....
44,382
5,999
38,383
....

545
54,481
20,983
14,395
14,395
....
....
6,588
33,498
8,801
24,697
....

20,932
16,832
14,459
532
532
....
....
13,927
2,373
2,437
64
....

16,190
4,683
....
....
....
22
....
....
....
....
909
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
446
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ireland

178
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

47,028
10,383
4,703
4,703
....
....
5,680
36,645
37,297
....
....

22,081
6,422
5,274
5,270
....
....
11,695
15,659
12,612
3,048
....

59,941
21,932
2,908
2,908
....
....
24,840
38,009
37,749
260
....

23,259
17,422
5,155
5,155
....
....
22,577
5,837
4,622
1,214
....

53,935
32,444
8,521
8,521
....
....
23,923
21,491
18,543
2,948
....

37,764
28,726
1,848
1,848
....
....
26,877
9,038
14,642
5,604
....

11,506
17,285
49,408
49,408
....
....
32,123
28,791
28,791
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

63,917
151,139
59,602
....
610
1,411
57,580
....
91,537
2,708
90,351
251
1,774
....
215,056
93,590
....
32,051
....
61,539
....
121,466
....
73,025
1,792
46,649
....

11,966
267,083
74,006
....
....
....
....
....
193,077
507
159,578
953
32,039
....
279,049
160,467
....
87,902
....
72,565
....
118,581
....
61,382
401
56,798
....

34,435 119,355
749 17,740
13,643
38,839
....
....
674
633
3,549
747
16,519
40,220
....
....
12,894 56,579
1,146
1,957
44,942 156,801
2,847
232
36,040
98,033
....
....
35,184 101,615
30,815 152,336
....
....
17,588
39,711
....
....
48,403 112,626
....
....
4,369 50,721
....
....
14,379 31,967
29,203
19,852
10,972
3,015
....
....

38,233
4,613
8,645
....
....
....
....
....
13,258
2,254
41,546
523
53,072
....
42,846
86,184
....
21,666
....
64,518
....
43,339
....
16,514
9,745
1,791
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

8,041
5,347
2,694

374
3,046
2,672

3,358
16,553
19,911

16,024
7,948
8,076

619
14,503
13,883

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

13,552
133,298
....
133,298
296
85,843
226
46,934
....
119,746
....
....
119,746
9
50,354
149
27,555
....

14,616
154,941
....
154,941
1,093
83,501
407
70,753
....
169,557
....
....
169,557
2,577
118,157
5
53,982
....

39,477 121,310
31,496
196,846 106,455 72,037
....
....
....
196,846 106,455 72,037
3,402
4,801
6,717
110,378
66,934 68,872
1,253
191
443
91,123
34,912
3,995
....
....
....
236,323 227,766 103,533
....
....
....
....
....
1,075
236,323 227,766 104,608
1,631
62,672
695
57,673
61,415
8,439
360
395
46
66,216
37,299
5,178
....
....
....

115,886
35,408
....
35,408
481
4,895
378
40,406
....
80,478
....
....
80,478
4
42,373
15
31,182
....

46,994
5,802
....
5,802
289
40,600
1,852
32,656
....
52,797
....
....
52,797
34,786
71,814
48,422
5,381
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,776
18
6
212
1,552

112
....
2
52
63

16
5
1
48
69

157
1
....
77
81

1,034
1
1,075
75
119

42
1
54
6
17

398
44
128
166
480

NET ERRORS AND OMISSIONS.........................

....

7,552

1,324

2,998

9,921

8,843

9,823

10,602

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

10,346
62,493
232,631
45,303
29,415 32,388
....
....
....
....
....
....
29,013 32,229
....
....
203,216
77,691
3,390
6,266
135,627
25,124
1,467
1,339
62,732
47,640
....
....
222,285 17,190
138,387
7,844
....
....
93,651
10,987
....
....
44,736 18,831
....
....
83,898
9,346
....
....
23,917 100,903
3,197
39,851
56,783
55,520
....
....
16,331
18,725
2,393

1,388
6,210
4,822

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
447
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ireland

178
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 2,221,852 2,930,135 3,677,270 3,393,336 3,715,431 3,714,693 3,844,313
Direct investment............................................. 8A9999 A AA
. . . . 342,409 401,918 485,584 522,536 672,185 700,103 687,227
Equity and investment fund shares................. 8AA000 A AA
....
87,692 108,475 130,693 139,688 232,281 266,359 265,375
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
87,692 108,475
. . . . 139,688
....
....
....
....
....
....
....
....
....
....
. . . . 254,717 293,443 354,891 382,848
....
24,880
25,053
34,906
47,954
. . . . 229,837 268,390 319,984 334,895
....
....
....
....
....
. . . . 1,182,212 1,620,218 1,970,468 1,621,055
. . . . 383,155 573,199 649,173 427,868
....
....
....
....
....
....
1,811
3,959
2,885
2,628
....
14,382
19,823
24,119
14,972
. . . . 366,962 549,417 622,168 410,269
....
....
....
....
....
. . . . 799,057 1,047,019 1,321,295 1,193,187
....
9,119
10,641
15,709
20,690
. . . . 544,856 742,018 919,061 843,530
....
2,079
3,182
4,982
3,674
. . . . 243,003 291,178 381,543 325,292
....
....
....
....
....
....
11,048
11,326
37,793
51,325
. . . . 685,304 895,830 1,182,485 1,197,382
....
....
....
....
....
. . . . 685,304 895,830 1,182,485 1,197,382
....
3,411
4,932
1,849
7,016
. . . . 302,022 415,009 571,157 573,567
....
1,430
1,192
183
49
. . . . 378,442 474,697 609,296 616,751
....
....
....
....
....
....
879
843
940
1,038
....
99
122
162
167
....
88
95
101
98
....
176
131
87
164
....
516
494
590
610

232,281
....
....
439,904
68,995
370,910
....
1,802,055
539,873
....
3,769
14,553
521,552
....
1,262,182
20,176
836,222
612
405,172
....
67,473
1,171,562
....
1,171,562
1,204
529,674
61
640,623
....
2,155
213
1,179
245
517

266,359
....
....
433,744
73,355
360,389
....
1,764,344
603,914
....
861
14,753
588,301
....
1,160,430
20,571
647,393
782
491,684
....
82,565
1,165,566
....
1,165,566
609
524,203
40
640,713
....
2,115
273
1,104
237
501

....
195
....
421,852
79,140
342,711
....
1,854,041
565,778
....
673
5,335
559,771
....
1,288,262
22,067
450,125
239
815,831
....
100,880
1,200,462
....
1,200,462
862
495,423
2,301
701,877
....
1,703
304
976
397
26

. . . . 2,269,149 2,942,715 3,731,772 3,572,411 3,942,928 3,915,353 4,042,976


. . . . 401,787 437,681 539,207 546,859 642,822 628,190 625,136
. . . . 217,612 226,458 267,017 257,538 305,747 291,985 259,102
. . . . 217,604 226,419 267,017 256,979 303,638 291,246 259,102
....
8
40
....
559
2,109
739
....
....
....
....
....
....
....
....
....
. . . . 184,175 211,223 272,190 289,321 337,074 336,205 366,034
. . . . 175,764 198,463 256,650 271,164 311,204 314,941 335,477
....
8,411
12,760
15,539
18,156
25,870
21,264
30,557
....
....
....
....
....
....
....
....
. . . . 1,210,257 1,611,591 1,957,758 1,643,932 1,948,581 2,074,155 2,232,637
. . . . 712,330 950,795 1,155,092 889,191 1,177,526 1,407,712 1,478,895
....
....
....
....
....
....
....
....
. . . . 277,517 377,673 470,033 411,303 438,738 464,022 354,965
....
....
....
....
....
....
....
....
. . . . 434,813 573,122 685,059 477,888 738,789 943,690 1,123,931
....
....
....
....
....
....
....
....
. . . . 497,927 660,796 802,665 754,741 771,055 666,443 753,742
....
....
....
....
....
....
....
....
. . . . 211,412 282,943 328,938 209,442 185,005 114,601
84,080
....
31,677
35,716
43,851
80,305 108,301 107,636
88,028
. . . . 254,838 342,137 429,877 464,993 477,749 444,206 581,634
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
448
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Ireland

178
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

2,895
654,211
....
125
654,086
5,456
440,636
158
136,438
....

....
42,139
65,606
73,707
73,372
90,617
. . . . 1,192,668 1,316,015 1,277,818 1,139,635 1,094,585
....
....
....
....
....
....
131
138
134
1,216
1,194
1,190
. . . . 1,192,531 1,315,880 1,276,602 1,138,441 1,093,395
3,495
1,011
61,885
77,110 194,010 155,858
595,306 809,499 858,477 767,349 471,802 387,689
209
542
43
1
....
46,394
281,597 248,910 395,475 432,143 472,630 503,454
....
....
....
....
....
....

....

47,297

12,580

....

.8477

.7593

54,502 179,075 227,497 200,660 198,663


.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
449
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Israel

436
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
4,101
7,022
4,561
1,830
6,975
6,336

194

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

Balance on goods......................................................... 1A9999 B XN

2005

40,376
43,887

2006

43,920
47,154

2007

50,792
55,969

2008

2009

57,713
64,397

46,333
45,993

56,094
58,042

62,855
71,932

339

1,948

9,077

26,860
19,841

3,512

3,234

5,177

6,684

....
....
....

16,873
13,826

18,339
14,738

368

20,259
17,518

2,436

23,917
19,769

2,536

21,411
17,089

24,229
18,055

4,226

2,059

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

5,601
7,037

1,901

8,387
9,174

420

10,873
11,133

2,696

7,242
11,357

6,651

5,692
10,781

428

5,823
12,138

2,090

7,148
13,590

8,500

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

7,040
1,038

8,559
1,117

8,528
1,271

9,424
943

8,395
993

9,481
1,055

9,919
1,225

B. Capital Account........................................... 20999F B AA

....

727

786

822

1,109

908

983

1,240

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

727
....

4,828

786
....

7,808

822
....

5,383

1,109
....

2,939

908
....

7,883

983
....

7,319

1,240
....

1,433

C. Financial Account......................................... 30999F N AA

....

8,725

10,523

2,390

13,771

6,148

1,244

1,366

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

2,946
2,746
200

15,462
12,741
2,721

8,604
6,755
1,848

7,210
6,536
674

1,695
909
786

7,960
4,314
3,646

3,315
7,122
3,807

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

4,818
4,588
230

15,296
15,002
293

8,798
8,754
44

10,874
10,473
401

4,438
3,962
476

5,152
5,587
435

11,407
11,280
127

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

7,975
3,373
4,601

6,347
2,906
3,441

3,138
2,034
1,103

1,634
2,290
656

8,254
7,126
1,128

8,901
7,251
1,650

3,051
4,082
1,031

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

2,313
2,255
58

4,041
3,970
71

3,596
3,620
24

2,149
2,153
4

3,085
2,122
963

8,602
612
9,214

7,565
700
6,865

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

35
35
....

89
89
....

29
29
....

116
116
....

230
230
....

30
30
....

17
17
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

5,315
....
5,315

10,719
....
10,719

7,052
....
7,052

10,819
....
10,819

4,499
....
4,499

929
....
929

633
....
633

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

344
....
344

3,898

2,757
....
2,757

2,715

3,981
....
3,981

2,993

1,112
....
1,112

3,844
....
3,844

3,392
....
3,392

1,809
....
1,809

D. Net Errors and Omissions............................. 40999S N AA

....

5,078

1,991

2,755

1,304

3,407

3,022

2,550

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,180

4,706

238

15,406

17,438

11,584

2,618

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,623
....
443

337
....
5,043

1,721
....
1,960

14,253
....
1,153

16,742
....
696

12,011
....
426

4,742
....
2,124

Conversion rates: new sheqalim per U.S.


dollar............................................................. RFZ F B

....

4.4877

4.4558

4.1081

3.5880

3.9323

3.7390

3.5781

Balance on goods and services...................................... 1Z9999 B XN

465

16,710

4,662

14,030

8,563

68

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
450
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Israel

436
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
4,101
7,022
4,561
1,830
6,975
6,336
GOODS AND SERVICES..................................... 1Z9999 B XN
....
465
368
2,436
2,536
4,662
4,226
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

57,249
57,713
3,512
40,376
40,376
....
....
43,887
43,887
....
3,047
16,873
13,826
....
....
....
....
3,685

62,259
61,892
3,234
43,920
43,920
....
....
47,154
47,154
....
3,602
18,339
14,738
....
....
....
....
3,658

71,051
73,487
5,177
50,792
50,792
....
....
55,969
55,969
....
2,741
20,259
17,518
....
....
....
....
4,443

81,630
84,166
6,684
57,713
57,713
....
....
64,397
64,397
....
4,148
23,917
19,769
....
....
....
....
5,168

67,744
63,082
339
46,333
46,333
....
....
45,993
45,993
....
4,322
21,411
17,089
....
....
....
....
3,165

80,323
76,097
1,948
56,094
56,094
....
....
58,042
58,042
....
6,173
24,229
18,055
....
....
....
....
4,253

194
2,059
89,714
91,773
9,077
62,855
62,855
....
....
71,932
71,932
....
7,018
26,860
19,841
....
....
....
....
4,474

4,711

4,785

5,776

6,623

5,429

5,786

6,471

2,866
....
....
2,895
....
....
10,323
348
16
....
574
4,690
4,653
....
42
6,220
....
412
....
542
211
4,837
....
218

2,794
....
....
2,983
....
....
11,888
509
21
....
593
5,510
5,217
....
38
6,970
....
413
....
681
318
5,329
....
230

3,136
....
....
3,260
....
....
12,681
666
24
....
785
6,038
5,137
....
31
8,482
....
392
....
948
351
6,536
....
255

4,279
....
....
3,439
....
....
14,471
819
24
....
804
7,127
5,676
....
23
9,708
....
466
....
1,107
283
7,571
....
281

3,741
....
....
2,909
....
....
14,506
786
25
....
761
7,938
4,978
....
18
8,751
....
388
....
897
306
6,890
....
271

4,768
....
....
3,413
....
....
15,207
838
25
....
849
7,988
5,487
....
19
8,856
....
408
....
860
298
7,022
....
269

4,849
....
....
3,538
....
....
17,537
1,004
25
....
1,067
10,014
5,407
....
21
9,832
....
512
....
1,064
306
7,652
....
299

....
....
....
....
....
....
....
....
....
....
....

1,436
5,601
7,037
377
2,206
5,224
2,335
2,071
760
1,311
265

787
8,387
9,174
463
2,334
7,923
3,353
2,892
1,379
1,513
461

260
10,873
11,133
546
2,798
10,327
4,441
3,767
1,593
2,174
673

4,115
7,242
11,357
513
3,550
6,729
2,637
2,141
1,221
920
497

5,089
5,692
10,781
507
3,283
5,185
2,647
2,325
1,469
856
322

6,315
5,823
12,138
572
3,739
5,251
2,791
2,509
764
1,745
283

6,442
7,148
13,590
595
4,267
6,553
3,762
3,450
979
2,471
312

561
2,680
444
885
1,293
2,533

540
2,685
433

887
1,401
2,497

653
3,335
455

991
1,639
3,146

751
3,764
653
1,006
2,085
3,532

591
2,132
443

960
1,701
2,768

745
3,041
467
1,020
1,908
2,858

749
3,195
529
1,052
2,407
3,012

_______________________________________________________________________________________________________________________________
451
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Israel

436
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

888
311
....
....
577
2,000
....
2,000
....
....
....
....
4,832
654
505
874
369
149
2,533
1,010
....
....
1,523
1,645
....
1,645
....
....
....

1,446
536
....
....
910
3,124
....
3,124
....
....
....
....
6,840
2,301
2,074
567
1,507
227
2,250
460
....
....
1,789
2,289
....
2,289
....
....
....

1,770
691
....
....
1,079
4,117
....
4,117
....
....
....
....
8,335
3,237
3,010
715
2,295
227
2,641
758
....
....
1,882
2,457
....
2,457
....
....
....

1,156
461
....
....
696
2,935
....
2,935
....
....
....
....
7,807
3,351
3,185
959
2,226
166
2,493
610
....
....
1,883
1,964
....
1,964
....
....
....

1,169
604
....
....
565
1,370
....
1,370
....
....
....
....
7,498
4,074
3,968
1,390
2,578
107
2,219
419
....
....
1,800
1,205
....
1,205
....
....
....

1,115
479
....
....
637
1,345
....
1,345
....
....
....
....
8,399
4,973
4,897
844
4,053
77
2,510
856
....
....
1,654
916
....
916
....
....
....

1,285
653
....
....
632
1,506
....
1,506
....
....
....
....
9,322
5,542
5,467
1,066
4,401
76
2,634
1,004
....
....
1,631
1,146
....
1,146
....
....
....

....
....
....
....
....
....
....
....
....
....
....

6,002
7,040
3,340
3,699
....
3,699
1,038
104
934
....
934

7,442
8,559
4,519
4,040
....
4,040
1,117
107
1,010
....
1,010

7,257
8,528
3,978
4,550
....
4,550
1,271
111
1,161
....
1,161

8,482
9,424
4,523
4,902
....
4,902
943
111
832
....
832

7,402
8,395
3,767
4,628
....
4,628
993
110
883
....
883

8,426
9,481
4,426
5,055
....
5,055
1,055
113
942
....
942

8,694
9,919
4,633
5,287
....
5,287
1,225
113
1,113
....
1,113

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

727
....
....
727
163
....
163
564
....
....
....
....
....

786
....
....
786
203
....
203
584
....
....
....
....
....

822
....
....
822
201
....
201
621
....
....
....
....
....

1,109
....
....
1,109
145
....
145
964
....
....
....
....
....

908
....
....
908
101
....
101
806
....
....
....
....
....

983
....
....
983
112
....
112
870
....
....
....
....
....

1,240
....
....
1,240
100
....
100
1,140
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

9,905

5,817

2,628

1,636

11,290

10,340

3,984

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

1,873
2,946
2,746
1,435
1,435
....
....
1,311
200
200
....
....

166
15,462
12,741
11,228
11,228
....
....
1,513
2,721
2,721
....
....

194
8,604
6,755
4,581
4,581
....
....
2,174
1,848
1,848
....
....

3,665
7,210
6,536
5,616
5,616
....
....
920
674
674
....
....

2,744
1,695
909
53
53
....
....
856
786
786
....
....

2,808
7,960
4,314
2,569
2,569
....
....
1,745
3,646
3,646
....
....

8,092
3,315
7,122
4,651
4,651
....
....
2,471
3,807
3,807
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
452
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Israel

436
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

4,818
4,588
4,958
4,958
....
....
369
230
230
....
....

15,296
15,002
13,495
13,495
....
....
1,507
293
293
....
....

8,798
8,754
6,459
6,459
....
....
2,295
44
44
....
....

10,874
10,473
8,247
8,247
....
....
2,226
401
401
....
....

4,438
3,962
1,384
1,384
....
....
2,578
476
476
....
....

5,152
5,587
1,534
1,534
....
....
4,053
435
435
....
....

11,407
11,280
6,879
6,879
....
....
4,401
127
127
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,219
7,975
3,373
....
....
....
3,373
....
4,601
....
1,555
10
3,056
....
2,756
2,255
....
....
....
2,255
....
501
58
....
632
189
....

2,737
6,347
2,906
....
....
....
2,906
....
3,441
....
1,311
8
2,138
....
9,084
3,970
....
....
....
3,970
....
5,114
71
....
2,282
2,761
....

1,502
3,138
2,034
....
....
....
2,034
....
1,103
....
1,111
8
....
....
1,636
3,620
....
....
....
3,620
....
1,984
24
....
1,454
506
....

638
1,634
2,290
....
....
....
2,290
....
656
....
99
10
546
....
996
2,153
....
....
....
2,153
....
1,157
4
....
2,174
1,021
....

5,865
8,254
7,126
....
....
....
7,126
....
1,128
....
62
5
1,071
....
2,389
2,122
....
....
....
2,122
....
267
963
....
664
1,359
....

127
8,901
7,251
....
....
....
7,251
....
1,650
....
789
3
2,437
....
9,028
612
....
....
....
612
....
9,640
9,214
....
776
350
....

8,492
3,051
4,082
....
....
....
4,082
....
1,031
....
2,044
....
1,014
....
5,441
700
....
....
....
700
....
4,741
6,865
....
3,613
1,488
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

35
35
....

89
89
....

29
29
....

116
116
....

230
230
....

30
30
....

17
17
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,971
5,315
....
5,315
....
4,718
1,305
1,902
....
344
....
....
344
....
132
549
1,025
....

7,962
10,719
....
10,719
....
7,153
206
3,771
....
2,757
....
....
2,757
....
1,215
467
2,009
....

3,071
7,052
....
7,052
....
784
60
7,776
....
3,981
....
....
3,981
....
1,315
431
3,097
....

9,707
10,819
....
10,819
....
6,992
39
3,788
....
1,112
....
....
1,112
....
472
1,432
152
....

8,343
4,499
....
4,499
....
5,055
138
417
....
3,844
....
1,214
2,630
....
650
236
1,745
....

4,321
929
....
929
....
1,469
188
728
....
3,392
....
....
3,392
....
2,312
1,130
2,211
....

1,176
633
....
633
....
1,560
10
917
....
1,809
....
....
1,809
....
1,268
45
497
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,623
....
5
229
1,847

337
....
....
86
424

1,721
....
3
32
1,686

14,253
....
3
81
14,176

16,742
....
1,214
108
15,420

12,011
....
109
35
11,867

4,742
....
51
240
4,553

NET ERRORS AND OMISSIONS.........................

....

5,078

1,991

2,755

1,304

3,407

3,022

2,550

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
453
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Israel

436
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 125,549 166,425 190,687 187,969 220,428 250,590
Direct investment............................................. 8A9999 A AA
....
23,083
39,322
49,833
54,410
57,371
66,299
Equity and investment fund shares................. 8AA000 A AA
....
17,554
30,689
39,108
43,046
45,013
50,054
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

17,554
....
....
5,529
5,529
....
....
26,589
8,663
....
....
....
8,663
....
17,926
....
4,339
33
13,555
....
10
47,840
....
47,840
....
21,667
900
25,273
....
28,027
....
19
202
27,806

30,689
....
....
8,633
8,633
....
....
37,104
14,123
....
....
....
14,123
....
22,981
....
5,932
24
17,026
....
107
60,954
....
60,954
....
29,395
693
30,866
....
28,938
....
19
123
28,795

39,108
....
....
10,726
10,726
....
....
42,122
16,931
....
....
....
16,931
....
25,191
....
7,449
17
17,726
....
73
70,159
....
70,159
....
29,558
741
39,860
....
28,500
....
17
96
28,387

43,046
....
....
11,364
11,364
....
....
33,395
12,870
....
....
....
12,870
....
20,525
....
6,549
7
13,970
....
67
57,692
....
57,692
....
22,113
702
34,877
....
42,538
....
13
176
42,349

45,013
....
....
12,358
12,358
....
....
49,425
25,337
....
....
....
25,337
....
24,089
....
7,026
1
17,061
....
68
52,952
....
52,952
....
17,282
840
34,829
....
60,747
....
1,231
289
59,227

50,054
....
....
16,245
16,245
....
....
61,747
34,773
....
....
....
34,773
....
26,974
....
6,021
4
20,950
....
135
51,488
....
51,488
....
15,630
679
35,179
....
71,190
....
1,323
319
69,548

257,019
69,834
57,190
57,190
....
....
12,644
12,644
....
....
60,981
35,673
....
....
....
35,673
....
25,308
....
3,976
4
21,328
....
294
51,158
....
51,158
....
17,070
673
33,415
....
75,341
....
1,270
553
73,519

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

154,408
37,826
34,765
34,765
....
....
3,061
3,061
....
....
65,077
41,494
....
....
....
41,494
....
23,583
160
....
18,463
4,960
....

178,550
53,955
50,600
50,600
....
....
3,355
3,355
....
....
69,523
40,535
....
....
....
40,535
....
28,988
246
....
20,975
7,767
....

207,745
60,625
57,226
57,226
....
....
3,399
3,399
....
....
87,053
59,670
....
....
....
59,670
....
27,383
194
....
19,835
7,355
....

191,770
62,244
58,444
58,444
....
....
3,800
3,800
....
....
71,367
44,961
....
....
....
44,961
....
26,406
195
....
17,658
8,553
....

226,879
69,239
64,963
64,963
....
....
4,276
4,276
....
....
95,146
68,650
....
....
....
68,650
....
26,496
1,156
....
18,183
7,157
....

251,230
77,810
73,969
73,969
....
....
3,841
3,841
....
....
107,858
71,278
....
....
....
71,278
....
36,580
10,809
....
18,814
6,956
....

223,000
66,571
62,671
62,671
....
....
3,900
3,900
....
....
89,385
57,895
....
....
....
57,895
....
31,490
3,873
....
21,936
5,681
....

_______________________________________________________________________________________________________________________________
454
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Israel

436
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: new sheqalim per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
51,504
....
152
51,352
....
23,189
12,391
15,772
....

....
55,072
....
160
54,912
....
24,988
12,011
17,913
....

....
60,067
....
168
59,899
....
26,951
11,758
21,190
....

....
58,159
....
164
57,996
....
26,716
10,176
21,104
....

....
62,494
....
1,385
61,109
....
27,754
10,477
22,878
....

....
65,563
....
1,360
64,202
....
29,859
9,318
25,025
....

....
67,044
....
1,356
65,688
....
30,506
9,338
25,844
....

....

28,858

12,125

17,058

3,801

6,451

640

34,020

....

4.6030

4.2250

3.8460

3.8020

3.7750

3.5490

3.8210

_______________________________________________________________________________________________________________________________
455
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Italy

136
Table 1. ANALYTIC PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
29.74
47.83
51.57
65.38
40.87
72.85

67.37

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

358.59
358.05

502.98
523.08

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

.54

401.72
414.51

12.79

481.64
476.85

525.82
528.45

392.29
388.17

4.11

26.13

20.10

....
....
....

89.70
90.54

.30

99.99
101.24

14.04

113.13
123.01

5.08

117.46
130.24

15.41

93.59
107.72

10.02

96.74
111.04

40.42

105.22
117.76

32.64

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

61.32
78.43

17.41

72.35
89.43

31.11

88.21
115.01

31.88

103.50
132.14

44.04

80.39
94.64

24.27

74.10
84.89

51.21

84.77
97.34

45.21

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

23.54
35.88

22.22
38.94

26.62
46.31

30.79
52.13

30.98
47.58

23.45
45.09

27.56
49.72

B. Capital Account........................................... 20999F B AA

....

1.63

2.36

3.15

.35

.05

.74

.56

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

5.12
3.49

28.11

5.49
3.12

45.46

5.18
2.03

48.43

3.66
4.01

65.73

2.97
3.02

40.93

2.38
3.12

73.59

5.73
5.17

66.81

C. Financial Account......................................... 30999F N AA

....

25.29

30.94

37.74

53.86

56.06

115.42

102.88

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

40.78
29.24
11.54

42.48
32.95
9.53

92.12
73.72
18.40

54.07
41.24
12.83

43.53
27.00
16.52

17.71
21.18
3.47

47.52
32.17
15.35

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

19.64
13.68
5.96

39.01
28.16
10.85

40.04
24.96
15.08

24.91
.16
25.07

40.35
14.73
25.62

5.29
2.33
7.62

28.00
30.84
2.83

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

108.09
24.88
83.21

61.72
23.04
38.69

1.59
17.02
15.44

95.63
118.45
22.82

55.94
18.89
37.05

43.16
54.53
11.37

48.89
5.53
43.36

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

164.40
2.63
161.77

115.29
13.56
101.73

24.06
14.87
38.93

11.24
29.01
40.25

88.66
20.90
67.76

94.03
3.83
90.20

95.33
5.98
101.31

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

3.12
....
3.12

.59
....
.59

.74
....
.74

2.56
3.51
6.07

5.79
12.16
6.37

6.66
6.94
13.60

10.34
12.53
2.19

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

100.28
....
100.28

142.42
....
142.42

82.67
....
82.67

37.42
....
37.42

58.96
....
58.96

64.90
....
64.90

59.32
....
59.32

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

87.28
....
87.28

123.86
....
123.86

146.10
....
146.10

14.01
....
14.01

38.24
....
38.24

15.14

29.31
....
29.31

41.83

217.82
....
217.82

D. Net Errors and Omissions............................. 40999S N AA


E. Reserves and Related Items.......................... 4Z999S N AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

4.79

2.62

430.81
456.94

2.83

14.53

10.69

11.87

36.07

....

1.80

13.96

12.58

20.08

6.13

40.49

34.90

....

1.03

.57

1.89

8.20

9.00

1.34

1.17

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1.03
....
....

.57
....
....

1.89
....
....

8.20
....
....

9.00
....
....

1.34
....
....

1.17
....
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
456
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Italy

136
Table 2. STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
29.74
47.83
51.57
65.38
40.87
72.85
GOODS AND SERVICES..................................... 1Z9999 B XN
....
.30
14.04
5.08
15.41
10.02
40.42
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

448.29
448.59
.54
358.59
358.05
.19
.35
358.05
355.18
2.87
.84
89.70
90.54
.49
.31
.18
.16
14.96

501.71
515.75
12.79
401.72
400.97
.23
.52
414.51
411.22
3.29
1.24
99.99
101.24
1.07
.48
.16
.24
16.35

594.77
599.85
4.79
481.64
480.43
.20
1.02
476.85
471.78
5.07
9.87
113.13
123.01
.95
.87
.17
.26
18.24

643.28
658.68
2.62
525.82
523.29
1.30
1.23
528.45
524.33
4.12
12.78
117.46
130.24
2.36
1.25
.14
.17
18.24

485.88
495.90
4.11
392.29
387.81
1.50
2.99
388.17
384.67
3.51
14.13
93.59
107.72
.04
1.17
.24
.19
13.26

527.55
567.97
26.13
430.81
425.62
1.20
3.99
456.94
452.41
4.53
14.30
96.74
111.04
.03
.73
.22
.19
14.91

67.37
32.64
608.20
640.84
20.10
502.98
493.04
1.65
8.29
523.08
516.58
6.50
12.54
105.22
117.76
.40
1.11
.34
.17
15.63

21.98

23.19

27.96

30.02

22.91

26.18

27.36

35.32
7.15
28.17
22.37
7.89
14.48
38.75
2.21
1.62
1.25
1.13
2.63
28.03
.76
1.12
45.73
2.19
2.14
1.22
1.94
3.99
30.89
1.64
1.72

38.26
8.20
30.06
23.15
8.15
15.00
44.15
2.43
1.70
2.00
1.12
3.99
30.54
.95
1.43
54.16
2.57
2.89
1.04
1.84
5.87
35.92
1.64
2.40

42.66
9.36
33.30
27.33
9.88
17.45
51.12
3.17
1.54
3.89
1.05
3.77
35.01
1.17
1.53
66.59
3.47
3.45
1.43
1.68
5.97
45.30
2.10
3.19

46.19
10.12
36.07
30.93
10.23
20.70
50.52
.29
3.86
3.00
3.97
8.41
28.97
.26
1.78
67.87
.06
5.84
3.82
7.78
10.98
36.40
.71
2.28

40.38
8.68
31.70
27.95
8.66
19.29
39.75
.37
3.12
2.15
3.93
6.72
21.80
.32
1.34
55.50
.04
3.82
4.17
6.85
8.56
29.54
.66
1.86

38.44
8.44
29.99
26.91
8.32
18.59
43.15
.11
2.71
2.56
3.64
8.50
24.08
.35
1.19
57.04
.07
4.03
4.55
7.15
10.54
27.87
.68
2.14

43.24
8.81
34.43
28.73
8.86
19.87
46.41
.11
2.57
2.60
3.69
8.77
26.96
.30
1.41
60.38
.09
4.05
5.14
7.21
10.84
30.50
.58
1.97

....
....
....
....
....
....
....
....
....
....
....

17.11
61.32
78.43
2.03
2.72
59.29
4.97
4.97
2.27
2.70
....

17.08
72.35
89.43
2.24
2.65
70.11
7.65
7.65
3.37
4.29
....

26.80
88.21
115.01
2.72
2.86
85.49
10.71
10.71
4.48
6.23
....

28.64
103.50
132.14
4.92
3.70
98.58
33.26
30.96
15.85
15.11
2.30

14.25
80.39
94.64
4.65
3.44
75.75
28.59
24.93
10.23
14.70
3.66

10.79
74.10
84.89
6.23
2.87
67.87
28.25
24.45
14.78
9.66
3.80

12.57
84.77
97.34
6.36
2.73
78.41
33.67
28.08
16.55
11.53
5.59

3.05
4.99
6.92

4.40
10.11
7.47

3.39
5.57
7.39

4.28
11.01
7.90

3.48
6.48
8.28

5.43
13.80
8.73

2.56
7.21
8.47

6.88
14.09
9.06

1.56
4.67
7.03

6.45
9.10
7.36

1.62
5.48
7.80

6.15
11.70
8.33

2.12
5.51
8.00

6.99
11.76
8.61

_______________________________________________________________________________________________________________________________
457
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Italy

136
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

40.25
10.33
....
....
29.92
14.07
....
14.07
....
....
....
....
75.71
5.82
5.82
.63
5.19
....
51.74
15.41
....
....
36.33
18.16
....
18.16
....
....
....

47.92
11.22
....
....
36.70
14.53
....
14.53
....
....
....
....
86.78
6.80
6.80
.62
6.18
....
54.86
18.56
....
....
36.30
25.12
....
25.12
....
....
....

52.67
17.46
....
....
35.21
22.11
....
22.11
....
....
....
....
112.15
7.11
7.11
.59
6.52
....
68.32
19.61
....
....
48.70
36.73
....
36.73
....
....
....

41.65
13.04
....
....
28.61
23.67
....
23.67
....
....
....
....
128.44
21.31
13.51
8.50
5.01
7.80
81.11
17.49
....
....
63.62
26.02
....
26.02
....
....
....

35.32
8.45
....
....
26.87
11.84
....
11.84
....
....
....
....
91.21
17.71
8.33
1.07
7.26
9.37
62.01
7.69
....
....
54.32
11.50
....
11.50
....
....
....

33.20
8.17
....
....
25.02
6.43
....
6.43
....
....
....
....
82.02
16.79
11.08
4.19
6.89
5.71
59.38
7.19
....
....
52.19
5.85
....
5.85
....
....
....

36.33
10.23
....
....
26.10
8.41
....
8.41
....
....
....
....
94.61
20.79
12.61
4.76
7.85
8.19
65.42
8.75
....
....
56.67
8.40
....
8.40
....
....
....

....
....
....
....
....
....
....
....
....
....
....

12.33
23.54
12.32
11.22
.29
10.93
35.88
22.67
13.20
4.83
8.37

16.71
22.22
12.37
9.85
.31
9.54
38.94
22.21
16.73
5.70
11.03

19.70
26.62
15.83
10.79
.35
10.44
46.31
26.14
20.17
8.32
11.85

21.33
30.79
14.62
16.18
.64
15.54
52.13
28.04
24.08
9.36
14.72

16.60
30.98
15.89
15.09
.57
14.51
47.58
25.98
21.60
9.43
12.17

21.64
23.45
10.40
13.05
.58
12.47
45.09
24.88
20.21
8.71
11.49

22.16
27.56
12.11
15.45
.67
14.79
49.72
27.97
21.75
10.29
11.46

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

1.63
.34
.26
4.78
4.61
....
4.61
.17
3.23
2.98
1.49
1.49
.25

2.36
.22
.34
5.27
4.80
....
4.80
.47
2.79
2.24
1.28
.96
.55

3.15
.23
.33
4.95
4.53
....
4.53
.42
1.70
1.39
.15
1.24
.31

.35
.50
2.04
3.16
3.16
....
3.16
....
1.97
1.97
....
1.97
....

.05
.64
1.45
2.33
2.32
....
2.32
....
1.57
1.54
....
1.54
.03

.74
.43
1.37
1.96
1.96
....
1.96
....
1.75
1.65
....
1.65
.10

.56
1.99
2.56
3.74
3.74
....
3.74
....
2.60
2.53
....
2.53
.07

FINANCIAL ACCOUNT........................................ 30999S N AA

....

26.32

31.51

35.85

45.65

47.06

114.08

101.71

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

21.14
40.78
29.24
26.54
26.54
....
....
2.70
11.54
11.54
....
....

3.47
42.48
32.95
28.66
28.66
....
....
4.29
9.53
9.53
....
....

52.08
92.12
73.72
67.49
67.49
....
....
6.23
18.40
18.40
....
....

78.98
54.07
41.24
26.14
26.14
....
....
15.11
12.83
11.23
1.59
....

3.17
43.53
27.00
12.30
12.30
....
....
14.70
16.52
17.44
.92
....

23.00
17.71
21.18
11.50
11.50
....
....
9.67
3.47
.53
2.94
....

19.52
47.52
32.17
20.64
20.64
....
....
11.53
15.35
11.74
3.60
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
458
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Italy

136
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

19.64
13.68
8.49
8.49
....
....
5.19
5.96
5.96
....
....

39.01
28.16
21.98
21.98
....
....
6.18
10.85
10.85
....
....

40.04
24.96
18.44
18.44
....
....
6.52
15.08
15.08
....
....

24.91
.16
4.87
4.87
....
....
5.03
25.07
8.05
17.03
....

40.35
14.73
7.47
7.47
....
....
7.26
25.62
.93
24.70
....

5.29
2.33
4.56
4.56
....
....
6.89
7.62
4.33
11.95
....

28.00
30.84
22.99
22.99
....
....
7.85
2.83
7.21
10.05
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

56.31
108.09
24.88
.67
2.23
.27
26.17
....
83.21
.31
.77
.66
83.00
....
164.40
2.63
....
27.53
....
24.90
....
161.77
....
35.25
120.64
5.88
....

53.57
61.72
23.04
.18
1.50
.11
21.25
....
38.69
14.43
.88
.55
24.59
....
115.29
13.56
....
4.85
....
8.71
....
101.73
....
53.41
45.43
2.89
....

25.65
1.59
17.02
....
11.44
.09
28.55
....
15.44
4.90
6.82
.06
3.76
....
24.06
14.87
....
14.40
....
.47
....
38.93
....
43.39
7.46
3.00
....

106.86
95.63
118.45
1.00
17.61
.38
102.22
....
22.82
3.20
39.55
.12
20.05
....
11.24
29.01
....
3.06
....
25.95
....
40.25
....
12.99
45.58
18.31
....

32.72
55.94
18.89
1.06
.41
.18
18.06
....
37.05
12.83
3.20
.13
21.15
....
88.66
20.90
....
7.48
....
13.42
....
67.76
....
14.19
85.68
3.73
....

50.86
43.16
54.53
.38
1.90
.80
51.45
....
11.37
34.91
12.36
.82
33.11
....
94.03
3.83
....
2.18
....
1.65
....
90.20
....
1.08
86.44
2.68
....

46.45
48.89
5.53
.19
1.94
1.00
4.78
....
43.36
12.97
6.66
.42
62.58
....
95.33
5.98
....
.77
....
5.21
....
101.31
....
.78
100.08
.45
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

3.12
....
3.12

.59
....
.59

.74
....
.74

2.56
3.51
6.07

5.79
12.16
6.37

6.66
6.94
13.60

10.34
12.53
2.19

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

13.00
100.28
....
100.28
4.35
24.83
1.23
69.87
....
87.28
....
....
87.28
1.10
59.50
1.30
25.37
....

18.57
142.42
....
142.42
18.73
58.87
.36
64.45
....
123.86
....
....
123.86
.94
113.40
.39
11.79
....

63.43
82.67
....
82.67
18.29
39.39
.02
25.01
....
146.10
....
....
146.10
1.14
152.67
1.29
4.14
....

23.41
37.42
....
37.42
21.09
25.66
.03
9.36
....
14.01
....
....
14.01
.13
45.34
.12
31.33
....

20.72
58.96
....
58.96
39.99
53.68
.07
45.34
....
38.24
....
9.18
47.41
.12
61.81
.16
14.44
....

94.21
64.90
....
64.90
66.80
4.54
4.98
7.62
....
29.31
....
....
29.31
3.51
15.53
.14
10.42
....

158.50
59.32
....
59.32
4.92
42.56
13.15
8.52
....
217.82
....
....
217.82
264.10
58.31
4.08
7.94
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1.03
....
.10
1.69
.56

.57
....
.03
.85
.25

1.89
....
.04
.28
2.13

8.20
....
.07
.78
7.49

9.00
....
9.12
.25
.36

1.34
....
.30
.65
.39

1.17
....
.35
3.49
1.98

NET ERRORS AND OMISSIONS.........................

....

1.80

13.96

12.58

20.08

6.13

40.49

34.90

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
459
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Italy

136
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 1,920.15 2,397.61 2,755.12 2,443.58 2,667.79 2,558.93 2,538.91
Direct investment............................................. 8A9999 A AA
....
293.48
378.93
535.55
540.07
609.39
597.97
616.97
Equity and investment fund shares................. 8AA000 A AA
....
253.04
320.73
421.06
423.35
472.83
463.86
475.34
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
40.44
58.21
114.49
116.72
136.56
134.12
141.63
....
....
100.15
101.19
121.17
119.24
124.29
....
....
14.34
15.53
15.39
14.87
17.34
....
....
....
....
....
....
....
982.07 1,153.00 1,295.66 1,003.53 1,173.57 1,154.63 1,030.63
416.45
534.84
589.97
318.13
400.07
454.32
409.39
1.67
2.07
2.45
3.23
5.02
5.45
4.96
17.18
22.72
35.99
9.94
14.24
14.85
9.29
1.64
2.92
3.38
2.45
3.12
3.99
4.47
395.96
507.14
548.15
302.52
377.69
430.03
390.68
....
....
....
....
....
....
....
565.62
618.16
705.68
685.40
773.50
700.31
621.24
4.04
19.12
26.48
31.04
45.24
76.69
86.28
70.19
74.30
88.61
108.15
122.25
99.97
98.74
4.86
6.04
6.26
6.90
7.12
5.74
5.01
486.53
518.70
584.34
539.31
598.89
517.91
431.21
....
....
....
....
....
....
....
30.23
31.28
34.30
161.51
146.81
149.84
182.13
548.42
758.62
795.30
633.19
605.22
497.64
535.88
....
....
....
....
....
....
....
548.42
758.62
795.30
633.19
605.22
497.64
535.88
21.97
45.42
69.13
43.85
92.53
17.61
12.31
264.98
353.00
437.44
310.93
265.92
257.19
288.59
32.65
36.57
47.97
45.35
47.04
48.85
59.64
228.82
323.62
240.75
233.06
199.72
173.99
175.34
....
....
....
....
....
....
....
65.95
75.77
94.32
105.27
132.80
158.86
173.31
40.44
50.11
65.94
68.19
87.03
111.17
124.12
.23
.27
.33
.26
9.41
9.55
9.18
1.76
.98
.73
1.52
1.83
2.46
5.84
23.53
24.41
27.32
35.30
34.52
35.68
34.16

. . . . 2,185.39 2,801.14 3,317.15 2,973.02 3,233.00 3,064.43 2,971.07


....
224.08
294.87
494.19
425.59
487.43
436.37
436.23
....
185.65
240.70
277.20
246.18
274.43
234.88
246.47
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
38.43
54.17
216.98
179.41
213.00
201.50
189.76
....
....
....
113.65
97.27
105.39
108.06
110.14
....
....
....
103.33
82.15
107.62
93.44
79.62
....
....
....
....
....
....
....
....
. . . . 1,308.24 1,657.76 1,862.08 1,586.44 1,810.91 1,697.32 1,387.04
....
292.20
412.91
419.41
186.16
245.72
203.89
150.41
....
....
....
....
....
....
....
....
....
98.28
144.40
130.98
52.40
74.29
48.15
23.78
....
....
....
....
....
....
....
....
....
193.92
268.51
288.43
133.75
171.43
155.74
126.62
....
....
....
....
....
....
....
....
. . . . 1,016.04 1,244.85 1,442.67 1,400.28 1,565.20 1,493.43 1,236.63
....
....
....
....
....
....
....
....
....
116.89
186.55
242.82
241.07
237.17
219.00
198.29
....
737.61
861.81
976.05
965.43 1,120.87 1,080.07
862.39
....
161.54
196.49
223.80
193.79
207.16
194.37
175.95
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
460
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Italy

136
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

37.73
615.34
....
1.00
614.34
2.16
446.16
6.96
159.06
....

47.60
800.91
....
1.06
799.85
1.26
602.50
6.62
189.47
....

29.03
931.85
....
1.11
930.74
.13
825.04
5.14
100.43
....

177.17
783.82
....
1.08
782.74
.28
653.06
4.86
124.53
....

160.68
773.97
....
10.31
763.66
.45
613.22
5.03
144.96
....

171.64
759.10
....
10.13
748.97
3.94
594.74
4.67
145.62
....

214.39
933.41
....
10.10
923.31
251.11
515.38
8.91
147.91
....

....

265.25

403.54

562.03

529.44

565.21

505.50

432.15

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
461
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jamaica

343
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
934.0 2,063.2
. . . . 1,071.3 1,182.9 2,038.1 2,793.3 1,127.5
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

2,649.8

2,931.4

4,078.0

4,943.1

2,985.9

2,944.0

4,059.6

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,935.5
357.0

2,088.5
339.9

2,385.7
345.8

2,488.8
339.0

2,122.0
263.6

2,292.9
282.9

2,284.0
287.6

B. Capital Account........................................... 20999F B AA

....

18.3

27.7

35.5

18.1

20.7

22.1

9.1

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

22.5
40.8

1,089.6

26.8
54.5

22.2
57.7

72.6
54.5

64.2
43.4

21.4
43.4

46.1
55.3

C. Financial Account......................................... 30999F N AA

....

1,309.7 1,338.1 1,294.4 3,020.5 1,280.8

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

56.4
56.4
....

45.6
45.6
....

60.4
60.4
....

15.9
15.9
....

5.4
5.4
....

16.3
16.3
....

29.1
29.1
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

637.9
659.8
21.9

842.3
872.2
29.8

811.9
717.8
94.1

1,376.6
1,321.7
54.9

485.2
440.3
44.9

185.8
183.3
2.5

172.8
198.6
25.8

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,406.4
....
1,406.4

506.4
....
506.4

1,768.6
....
1,768.6

813.8
....
813.8

352.1
....
352.1

352.2
....
352.2

70.8
....
70.8

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1,280.4
....
1,280.4

377.9
....
377.9

1,128.1
....
1,128.1

781.1
....
781.1

290.9
....
290.9

61.1
....
61.1

240.5
....
240.5

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

290.8
....
290.8

269.0
....
269.0

238.3
....
238.3

242.2
....
242.2

21.0
....
21.0

1,143.4
....
1,143.4

274.4
....
274.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

1,145.0
....
1,145.0

938.9
....
938.9

1,421.6
....
1,421.6

1,934.7
....
1,934.7

1,423.0
....
1,423.0

1,824.2
....
1,824.2

1,270.8
....
1,270.8

D. Net Errors and Omissions............................. 40999S N AA


E. Reserves and Related Items.......................... 4Z999S N AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

1,664.3
4,245.5

2,133.6
5,077.0

2,362.6
6,203.9

2,743.9
7,546.8

1,387.7
4,475.7

1,370.4
4,629.4

1,666.1
5,881.4

2,581.2

2,943.4

3,841.3

4,802.9

3,087.9

3,259.0

4,215.3

2,329.7
1,722.0

2,648.7
2,021.1

2,706.6
2,281.7

2,795.2
2,367.1

2,650.6
1,880.6

2,634.0
1,824.4

2,620.2
1,946.0

1,973.5

2,315.8

3,416.4

4,374.8

2,318.0

2,449.4

3,541.2

327.9
1,004.1

378.4
994.0

520.7
1,182.3

487.9
1,056.2

235.0
902.9

243.2
737.8

221.5
739.9

1,210.5

2,073.7

779.3

2,775.2

245.3

1,106.8

174.0

956.1

2,072.3

437.0 1,309.7

220.1

127.6

519.1

762.7

....

9.8

102.8

339.5

350.3

203.3

171.0

494.9

....

229.9

230.3

439.8

105.0

29.3

348.1

267.8

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

227.9
.9
1.1

230.3
....
....

439.8
....
....

105.0
....
....

29.3
....
....

431.4
779.5
....

218.4
49.3
....

Conversion rates: Jamaica dollars per U.S.


dollar............................................................. RFZ F B

....

62.281

65.744

69.192

72.756

87.894

87.196

85.892

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
462
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jamaica

343
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
934.0 2,063.2
. . . . 1,071.3 1,182.9 2,038.1 2,793.3 1,127.5
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,973.5 2,315.8 3,416.4 4,374.8 2,318.0 2,449.4 3,541.2
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
3,994.0
4,782.3
5,069.1
5,539.1
4,038.3
4,004.4
4,286.3
....
5,967.5
7,098.1
8,485.6
9,913.9
6,356.3
6,453.8
7,827.5
. . . . 2,581.2 2,943.4 3,841.3 4,802.9 3,087.9 3,259.0 4,215.3
....
1,664.3 2,133.6 2,362.6 2,743.9 1,387.7 1,370.4 1,666.1
....
1,664.3
2,133.6
2,362.6
2,743.9
1,387.7
1,370.4
1,666.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
4,245.5 5,077.0 6,203.9 7,546.8 4,475.7 4,629.4 5,881.4
....
4,245.5
5,077.0
6,203.9
7,546.8
4,475.7
4,629.4
5,881.4
....
....
....
....
....
....
....
....
....
607.6
627.6
424.9
428.1
769.9
809.6
674.2
....
2,329.7
2,648.7
2,706.6
2,795.2
2,650.6
2,634.0
2,620.2
....
1,722.0
2,021.1
2,281.7
2,367.1
1,880.6
1,824.4
1,946.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
451.1
459.0
447.2
469.0
344.2
295.2
283.6
237.8
224.2
231.5
245.7
145.1
94.2
47.1
....
....
14.6
17.8
15.3
14.6
4.4
3.8
1.9
....
198.7
217.0
200.3
208.7
194.7
197.2
234.6
....
717.7
885.4
987.6 1,113.6
785.4
725.2
855.7
40.8
41.5
41.7
43.9
43.0
42.2
53.5
....
....
572.1
666.4
775.1
894.0
611.5
614.8
729.5
....
104.9
177.5
170.8
175.7
130.9
68.3
72.7
....
1,545.2 1,870.1 1,910.0 1,975.8 1,925.5 2,001.3 2,012.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
249.5
273.4
298.2
268.2
216.4
192.5
158.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
333.4
319.7
349.4
350.4
380.9
337.5
324.1
....
....
....
....
....
....
....
....
....
14.2
13.8
12.4
10.6
8.4
5.5
8.6
....
50.4
40.4
66.9
42.5
52.6
34.1
36.8
....
12.7
12.0
14.9
16.6
9.1
4.9
3.9
....
182.9
176.6
184.4
165.2
187.7
167.4
152.9
....
9.6
10.5
4.7
44.6
53.6
54.7
51.8
....
29.6
31.2
29.1
38.6
34.5
37.3
37.3
....
34.1
35.2
37.0
32.4
35.0
33.6
32.8
....
754.8
862.2
995.9
985.3
878.8
906.7
931.4
....
4.8
4.8
4.8
4.8
4.8
72.6
72.6
....
133.8
168.2
180.2
194.6
154.2
152.5
144.3
....
34.2
42.7
54.9
42.2
46.3
47.1
39.5
....
11.0
11.2
60.4
48.2
44.8
36.3
47.4
....
64.4
103.3
98.2
80.5
117.1
106.6
117.0
....
458.3
476.1
539.3
546.4
445.2
420.2
434.2
....
2.0
4.4
2.2
5.9
9.8
13.5
13.9
....
46.4
51.6
56.1
62.8
56.6
57.9
62.4
....
....
....
....
....
....
....
....
....
....
....

676.2
327.9
1,004.1
140.4
51.8
187.5
24.4
24.4
24.4
....
....

615.6
378.4
994.0
154.3
58.3
224.0
.3
.3
.3
....
....

661.6
520.7
1,182.3
157.8
93.0
363.0
9.6
9.6
9.6
....
....

568.3
487.9
1,056.2
135.1
51.4
352.8
13.9
13.9
13.9
....
....

667.9
235.0
902.9
99.2
31.6
135.8
10.9
10.9
10.9
....
....

494.6
243.2
737.8
120.3
31.2
122.9
5.2
5.2
5.2
....
....

518.4
221.5
739.9
80.5
44.0
140.9
9.4
9.4
9.4
....
....

_______________________________________________________________________________________________________________________________
463
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jamaica

343
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

56.3
....
....
....
....
106.9
....
106.9
....
....
....
....
952.4
453.7
442.6
241.0
201.6
11.0
35.2
....
....
....
....
463.5
....
463.5
....
....
....

73.8
....
....
....
....
150.6
....
150.6
....
....
....
....
935.7
375.6
360.9
228.8
132.1
14.7
42.3
....
....
....
....
517.8
....
517.8
....
....
....

176.7
....
....
....
....
176.7
....
176.7
....
....
....
....
1,089.3
532.6
493.8
316.6
177.3
38.7
27.1
....
....
....
....
529.6
....
529.6
....
....
....

209.6
....
....
....
....
129.4
....
129.4
....
....
....
....
1,004.8
376.2
367.6
250.1
117.5
8.6
19.5
....
....
....
....
609.1
....
609.1
....
....
....

71.2
....
....
....
....
53.7
....
53.7
....
....
....
....
871.3
231.8
213.1
51.3
161.8
18.7
13.3
....
....
....
....
626.2
....
626.2
....
....
....

71.6
....
....
....
....
46.2
....
46.2
....
....
....
....
706.6
127.0
121.3
61.2
60.1
5.7
15.0
....
....
....
....
564.7
....
564.7
....
....
....

78.3
....
....
....
....
53.3
....
53.3
....
....
....
....
695.9
111.8
107.2
61.3
45.9
4.6
52.3
....
....
....
....
531.7
....
531.7
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,578.4
1,935.5
141.8
1,793.7
1,621.2
172.4
357.0
4.8
352.2
316.9
35.3

1,748.6
2,088.5
152.1
1,936.4
1,769.4
167.0
339.9
6.7
333.2
299.6
33.6

2,039.9
2,385.7
141.2
2,244.4
1,964.3
280.1
345.8
8.3
337.5
303.2
34.3

2,149.8
2,488.8
107.2
2,381.6
2,021.5
360.1
339.0
6.5
332.5
313.2
19.3

1,858.4
2,122.0
155.9
1,966.2
1,790.3
175.9
263.6
12.0
251.6
237.4
14.2

2,010.0
2,292.9
209.9
2,083.0
1,906.2
176.8
282.9
15.6
267.2
248.1
19.1

1,996.4
2,284.0
149.1
2,134.9
2,025.1
109.8
287.6
7.8
279.8
261.4
18.4

....
....
....
....
....
....
....
....
....
....
....
....
....

18.3
....
....
22.5
.3
....
.3
22.2
40.8
....
....
....
40.8

27.7
....
....
26.8
4.1
....
4.1
22.7
54.5
....
....
....
54.5

35.5
....
....
22.2
.7
....
.7
21.5
57.7
....
....
....
57.7

18.1
....
....
72.6
48.6
....
48.6
24.0
54.5
....
....
....
54.5

20.7
....
....
64.2
45.3
....
45.3
18.9
43.4
....
....
....
43.4

22.1
....
....
21.4
4.2
....
4.2
17.1
43.4
....
....
....
43.4

9.1
....
....
46.1
29.0
....
29.0
17.1
55.3
....
....
....
55.3

FINANCIAL ACCOUNT........................................ 30999S N AA

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

1,079.8 1,107.8 1,734.1 3,125.5 1,310.1


581.5
56.4
56.4
56.4
56.4
....
....
....
....
....
....
....

796.8
45.6
45.6
45.6
45.6
....
....
....
....
....
....
....

751.5 1,360.7
60.4
15.9
60.4
15.9
60.4
15.9
60.4
15.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....

479.8
5.4
5.4
5.4
5.4
....
....
....
....
....
....
....

785.1 1,577.5
169.5
16.3
16.3
16.3
16.3
....
....
....
....
....
....
....

143.7
29.1
29.1
29.1
29.1
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
464
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jamaica

343
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

637.9
659.8
458.3
458.3
....
....
201.6
21.9
22.7
44.6
....

842.3
872.2
740.1
740.1
....
....
132.1
29.8
10.0
39.8
....

811.9
717.8
540.5
540.5
....
....
177.3
94.1
148.7
54.6
....

1,376.6
1,321.7
1,204.2
1,204.2
....
....
117.5
54.9
114.9
60.0
....

485.2
440.3
278.5
278.5
....
....
161.8
44.9
100.6
55.7
....

185.8
183.3
123.2
123.2
....
....
60.1
2.5
44.4
41.9
....

172.8
198.6
152.7
152.7
....
....
45.9
25.8
19.6
45.5
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

126.0
1,406.4
....
....
....
....
....
....
1,406.4
....
....
....
1,406.4
....
1,280.4
....
....
....
....
....
....
1,280.4
....
....
....
1,280.4
....

128.5
506.4
....
....
....
....
....
....
506.4
....
....
....
506.4
....
377.9
....
....
....
....
....
....
377.9
....
....
....
377.9
....

640.4
1,768.6
....
....
....
....
....
....
1,768.6
....
....
....
1,768.6
....
1,128.1
....
....
....
....
....
....
1,128.1
....
....
....
1,128.1
....

32.8
813.8
....
....
....
....
....
....
813.8
....
....
....
813.8
....
781.1
....
....
....
....
....
....
781.1
....
....
....
781.1
....

643.0
352.1
....
....
....
....
....
....
352.1
....
....
....
352.1
....
290.9
....
....
....
....
....
....
290.9
....
....
262.3
28.6
....

413.3
352.2
....
....
....
....
....
....
352.2
....
....
....
352.2
....
61.1
....
....
....
....
....
....
61.1
....
....
32.6
28.5
....

169.7
70.8
....
....
....
....
....
....
70.8
....
....
....
70.8
....
240.5
....
....
....
....
....
....
240.5
....
....
15.5
256.0
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

852.3
290.8
....
290.8
61.3
274.2
1.8
46.5
....
1,143.0
....
....
1,143.0
2.0
405.8
117.8
621.4
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

227.9
....
.1
....
228.0

230.3
....
.2
....
230.1

439.8
....
....
....
439.8

105.0
....
.2
....
104.8

29.3
....
345.1
....
374.4

431.4
....
10.6
....
442.0

218.4
....
13.2
....
205.2

NET ERRORS AND OMISSIONS.........................

....

9.8

102.8

339.5

350.3

203.3

171.0

494.9

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

669.9 1,183.3 1,692.5 1,444.0 1,460.3 1,045.6


269.0
238.3
242.2
21.0 1,143.4
274.4
....
....
....
....
....
....
269.0
238.3
242.2
21.0 1,143.4
274.4
.1
53.5
5.6
334.8
798.7
....
317.5
338.2
287.4
334.8
401.6
331.9
.1
.8
.4
15.2
9.6
7.8
48.4
47.2
40.1
36.2
47.3
49.6
....
....
....
....
....
....
938.9 1,421.6 1,934.7 1,423.0 2,603.7 1,320.1
....
....
....
....
....
....
....
....
....
345.2
....
....
938.9 1,421.6 1,934.7 1,077.8 2,603.7 1,320.1
....
....
....
....
779.5
49.3
357.7
252.8
765.7
152.7
195.4
286.3
72.0
106.6
188.9
90.5
724.6
222.1
509.2
1,062.2
980.1
834.7
904.2
1,206.5
....
....
....
....
....
....

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
465
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jamaica

343
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

5,923.6
264.2
18.0
18.0
....
....
246.1
246.1
....
....
1,613.1
56.7
....
2.3
....
54.4
....
1,556.4
....
680.1
....
876.4
....
8.9
1,867.2
....
1,867.2
807.8
766.3
....
293.1
....
2,170.3
....
329.7
....
1,840.6

5,052.4
326.1
....
....
....
....
....
....
....
....
719.5
48.2
....
....
1.6
46.6
....
671.3
....
125.0
....
546.3
....
68.8
1,973.4
....
1,973.4
854.3
780.7
....
338.3

Data reported to the IMF on a BPM5 basis for 2005 to 2010 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
ASSETS.............................................................. 80999S A AA
....
3,616.4 4,463.6 5,105.5 5,181.7
Direct investment............................................. 8A9999 A AA
....
48.6
96.0
69.0
62.2
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
602.6
....
....
....
....
....
....
....
....
....
....
....
....
19.4
858.5
....
858.5
....
....
....
....
....
2,087.4
....
....
....
2,087.4

....
....
....
....
....
....
....
1,114.8
....
....
....
....
....
....
....
....
....
....
....
....
2.8
932.3
....
932.3
....
....
....
....
....
2,317.8
....
.3
....
2,317.6

....
....
....
....
....
....
....
1,895.5
....
....
....
....
....
....
....
....
....
....
....
....
31.0
1,232.0
....
1,232.0
....
....
....
....
....
1,878.1
....
.3
....
1,877.7

....
....
....
....
....
....
....
2,072.2
....
....
....
....
....
....
....
....
....
....
....
....
61.2
1,213.0
....
1,213.0
....
....
....
....
....
1,773.0
....
.1
....
1,772.9

4,387.9
306.2
27.3
27.3
....
....
278.9
278.9
....
....
1,448.1
55.8
....
4.9
....
50.9
....
1,392.3
....
675.3
....
716.9
....
2.4
886.1
....
886.1
23.0
661.9
....
201.2
....
1,745.1
....
346.5
....
1,398.6

8.5

1,964.5
....
315.9
....
1,648.7

. . . . 14,498.9 16,757.4 18,614.9 20,551.2 20,681.0 22,807.9 23,839.4


....
6,918.5 7,800.7 8,667.2 10,103.8 10,713.6 10,943.1 11,110.4
....
....
....
....
....
16.6
16.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
16.6
16.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
69.5
71.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
69.5
71.3
....
....
....
....
....
....
....
....
....
....
357.5
518.5
633.4
422.5 4,263.0 4,374.3 3,552.0
....
....
....
....
....
414.4
507.0
705.0
....
....
....
....
....
....
....
....
....
....
....
....
....
50.0
52.1
....
....
....
....
....
....
....
....
110.0
....
....
....
....
....
364.4
454.9
595.0
....
....
....
....
....
....
....
....
....
....
....
....
....
3,848.6 3,867.3 2,847.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
146.7
....
....
....
....
....
3,227.2
3,194.6
1,708.9
....
....
....
....
....
621.4
672.7
991.4
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
466
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jamaica

343
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Jamaica dollars per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

11.3
7,211.5
....
58.0
7,153.5
....
....
....
....
....

....
8,438.2
....
61.1
8,377.1
....
....
....
....
....

23.3
9,291.0
....
64.2
9,226.8
....
....
....
....
....

70.3
9,954.7
....
62.6
9,892.1
....
....
....
....
....

19.4
5,684.9
....
410.2
5,274.8
....
1,353.7
2,236.7
1,684.4
....

20.6
7,469.9
....
402.9
7,067.0
785.3
1,379.2
3,092.5
1,810.1
....

66.9
9,110.1
....
401.7
8,708.4
854.3
1,053.6
3,197.2
3,603.3
....

. . . . 10,882.5 12,293.8 13,509.4 15,369.6 16,293.0 16,884.2 18,787.0


....

64.381

67.032

70.397

80.217

89.328

85.601

86.368

_______________________________________________________________________________________________________________________________
467
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Japan

158
Table 1. ANALYTIC PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
165.78
171.08
211.68
159.36
147.02
203.92

119.06

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

735.44
626.91

789.95
794.42

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

137.35
175.78

570.98
464.02

619.22
524.11

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

173.36

181.76

223.20

172.41

159.41

216.31

132.89

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

9.74
17.31

6.18
16.87

6.77
18.28

9.10
22.15

9.52
21.91

10.09
22.48

13.11
26.94

B. Capital Account........................................... 20999F B AA

....

4.88

4.76

4.03

5.47

4.99

4.96

.50

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

.83
5.71

160.91

.75
5.51

166.32

.70
4.72

207.66

.63
6.10

153.89

1.11
6.10

142.03

.88
5.85

198.95

7.62
7.12

119.56

C. Financial Account......................................... 30999F N AA

....

122.68

102.34

187.24

172.62

130.15

130.47

82.45

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

46.55
42.15
4.40

52.33
45.13
7.20

74.22
71.41
2.81

135.63
121.45
14.17

78.27
69.50
8.77

59.66
56.89
2.78

117.52
109.31
8.21

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

4.32
5.48
1.16

4.62
6.67
2.05

22.91
14.37
8.54

29.36
28.63
.73

15.48
11.92
3.56

1.08
4.75
3.67

.08
1.43
1.51

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

196.40
22.97
173.43

71.04
25.04
46.00

123.45
26.09
97.36

189.64
65.56
124.08

160.25
29.69
130.56

262.64
21.46
241.18

103.05
12.45
90.60

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

183.13
131.32
51.81

198.56
71.44
127.12

196.58
45.45
151.13

102.96
69.69
33.27

56.26
12.43
68.69

111.64
40.33
71.31

264.10
5.64
258.46

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

6.53
230.59
237.12

2.46
143.48
141.03

2.80
188.50
185.71

24.79
271.95
247.16

10.55
333.85
323.30

11.94
403.46
391.51

17.08
407.49
390.41

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

106.60
....
106.60

86.24
....
86.24

260.78
....
260.78

139.46
....
139.46

202.75
....
202.75

130.14
....
130.14

92.68
....
92.68

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

45.94
....
45.94

38.22

89.12
....
89.12

48.92
....
48.92

61.99
....
61.99

64.15
....
64.15

197.30
....
197.30

114.44
....
114.44

D. Net Errors and Omissions............................. 40999S N AA

....

15.90

32.00

16.11

49.61

15.04

24.62

25.39

E. Reserves and Related Items.......................... 4Z999S N AA

....

22.33

31.98

36.52

30.88

26.92

43.85

176.62

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

22.33
....
....

31.98
....
....

36.52
....
....

30.88
....
....

26.92
....
....

43.85
....
....

176.62
....
....

Conversion rates: yen per U.S. dollar...............

....

110.22

116.30

117.75

103.36

93.57

87.78

79.81

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

RFZ F B

95.11

680.62
560.02

120.60

749.12
693.84

548.15
490.05

58.09

108.52

101.96
139.01

109.35
141.41

121.58
158.68

141.04
178.98

120.91
155.75

131.22
164.88

74.86

42.90

141.06
37.62

166.36
47.65

200.65
60.96

214.83
59.76

180.04
43.88

181.84
40.39

227.31
51.52

106.96

69.91

63.05

63.98

83.50

20.42

55.28

17.34

18.73

23.25

11.88

68.48

4.47

202.01

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
468
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Japan

158
Table 2. STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
165.78
171.08
211.68
159.36
147.02
203.92
GOODS AND SERVICES..................................... 1Z9999 B XN
....
69.91
63.05
83.50
17.34
23.25
74.86
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

672.94
603.03
106.96
570.98
561.06
8.52
1.41
464.02
462.90
1.11
37.05
101.96
139.01
.04
5.05
.27
.57
35.75

728.56
665.52
95.11
619.22
607.99
8.25
2.98
524.11
523.45
.66
32.06
109.35
141.41
.14
6.10
.30
.66
37.65

802.20
718.70
120.60
680.62
669.17
7.88
3.57
560.02
559.31
.71
37.10
121.58
158.68
.19
8.82
.34
.54
42.02

890.16
872.82
55.28
749.12
736.03
8.14
4.94
693.84
692.93
.91
37.94
141.04
178.98
.21
9.63
.42
.80
46.84

669.06
645.81
58.09
548.15
536.07
7.74
4.34
490.05
489.56
.49
34.84
120.91
155.75
.25
7.52
.31
.47
31.61

866.65
791.79
108.52
735.44
718.94
10.46
6.04
626.91
626.22
.69
33.67
131.22
164.88
.38
8.08
.22
.47
38.95

119.06
42.90
927.30
970.20
4.47
789.95
772.92
8.20
8.83
794.42
793.84
.58
38.43
137.35
175.78
.41
8.99
.18
.44
38.35

40.38

42.84

49.04

53.95

40.56

46.53

49.50

12.43
4.07
8.36
37.56
7.40
30.16
53.47
7.22
.87
5.04
17.66
1.52
18.72
.10
2.33
55.46
4.77
1.89
2.69
14.65
3.05
25.64
1.11
1.66

8.47
2.43
6.04
26.88
5.38
21.49
62.79
8.98
1.58
6.15
20.10
1.40
22.29
.14
2.16
64.94
6.20
4.57
2.99
15.50
3.85
28.86
1.30
1.66

9.35
2.51
6.84
26.51
4.94
21.57
69.68
10.32
1.34
6.21
23.23
1.52
24.84
.16
2.06
73.77
7.94
4.12
3.61
16.68
4.64
33.79
1.32
1.68

10.82
2.75
8.07
27.90
5.46
22.44
82.75
13.81
.94
5.45
25.70
1.60
32.79
.15
2.31
86.69
11.36
5.13
3.98
18.31
5.05
39.55
1.21
2.10

10.33
1.88
8.45
25.20
5.32
19.88
78.41
12.44
.86
4.80
21.70
1.53
34.50
.16
2.42
82.00
11.41
5.14
3.06
16.83
4.89
37.86
1.06
1.75

13.22
2.16
11.07
27.95
5.07
22.88
78.44
10.66
1.27
3.61
26.68
1.78
31.71
.15
2.58
81.86
7.86
6.82
3.15
18.77
4.60
37.96
.93
1.77

11.00
2.50
8.50
27.26
3.98
23.28
87.40
10.97
1.64
4.10
28.99
1.96
36.63
.16
2.95
89.58
7.72
6.78
3.35
19.17
5.19
44.54
.98
1.85

....
....
....
....
....
....
....
....
....
....
....

103.44
141.06
37.62
.17
.30
140.89
30.37
29.58
16.35
13.23
.80

118.72
166.36
47.65
.15
.18
166.21
35.12
34.22
17.84
16.39
.90

139.70
200.65
60.96
.12
.18
200.53
45.09
44.00
24.40
19.61
1.09

155.07
214.83
59.76
.18
.20
214.65
48.39
47.32
23.17
24.15
1.07

136.16
180.04
43.88
.17
.21
179.87
45.36
44.30
32.13
12.16
1.06

141.45
181.84
40.39
.17
.23
181.66
38.30
37.47
35.47
2.00
.83

175.79
227.31
51.52
.19
.27
227.12
58.90
58.36
40.40
17.96
.54

3.12
25.62
7.01
10.54
20.71
9.13

3.02
28.10
6.53

10.78
22.48
9.57

3.08
32.50
6.44

10.75
27.94
10.35

2.96
37.67
6.20

11.07
31.80
11.07

2.21
23.98
5.42
9.59
22.52
8.45

2.13
30.42
6.40

11.36
25.73
9.44

1.53
30.16
6.66

12.50
27.16
9.84

_______________________________________________________________________________________________________________________________
469
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Japan

158
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

95.28
18.62
....
....
76.66
15.24
....
15.24
....
....
....
....
37.32
9.48
9.20
7.51
1.70
.28
16.90
9.93
....
....
6.97
10.93
....
10.93
....
....
....

111.84
23.28
....
....
88.56
19.25
....
19.25
....
....
....
....
47.47
9.01
8.75
6.50
2.25
.26
21.14
13.88
....
....
7.26
17.32
....
17.32
....
....
....

130.42
28.47
....
....
101.94
25.03
....
25.03
....
....
....
....
60.78
14.89
14.53
10.69
3.84
.36
26.49
17.32
....
....
9.16
19.40
....
19.40
....
....
....

140.29
31.77
....
....
108.52
25.97
....
25.97
....
....
....
....
59.56
11.77
11.16
7.41
3.75
.61
31.39
20.98
....
....
10.41
16.40
....
16.40
....
....
....

118.35
24.76
....
....
93.60
16.16
....
16.16
....
....
....
....
43.67
8.77
8.18
6.98
1.19
.59
24.37
14.51
....
....
9.85
10.54
....
10.54
....
....
....

129.59
35.95
....
....
93.64
13.78
....
13.78
....
....
....
....
40.16
5.82
5.37
8.28
2.91
.45
27.11
17.19
....
....
9.93
7.23
....
7.23
....
....
....

152.59
54.70
....
....
97.89
15.63
....
15.63
....
....
....
....
51.25
11.07
10.65
8.64
2.01
.42
33.12
21.84
....
....
11.28
7.06
....
7.06
....
....
....

....
....
....
....
....
....
....
....
....
....
....

7.57
9.74
1.21
8.53
.73
7.80
17.31
5.21
12.10
.85
11.25

10.68
6.18
.14
6.05
1.03
5.02
16.87
4.82
12.05
3.15
8.89

11.51
6.77
.23
6.54
1.26
5.28
18.28
5.13
13.16
3.46
9.70

13.04
9.10
.30
8.80
1.56
7.25
22.15
5.46
16.69
4.35
12.34

12.40
9.52
.35
9.17
1.42
7.75
21.91
6.10
15.82
3.72
12.10

12.40
10.09
.45
9.64
1.51
8.13
22.48
5.83
16.65
4.14
12.51

13.82
13.11
.78
12.34
1.94
10.40
26.94
6.36
20.58
4.27
16.30

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

4.88
.21
1.14
.62
....
....
....
.61
4.57
4.25
2.81
1.44
.31

4.76
.33
1.08
.42
....
....
....
.42
4.43
4.13
3.03
1.10
.30

4.03
.49
1.68
.20
....
....
....
.20
3.05
2.23
1.18
1.05
.81

5.47
.43
2.08
.20
....
....
....
.20
4.01
3.48
2.29
1.19
.53

4.99
.91
3.33
.20
....
....
....
.20
2.76
2.31
.10
2.22
.45

4.96
.75
1.98
.13
....
....
....
.13
3.87
3.54
.03
3.51
.33

.50
2.50
2.53
5.12
....
....
....
5.11
4.59
3.81
1.38
2.43
.78

FINANCIAL ACCOUNT........................................ 30999S N AA

....

145.01

134.32

223.76

203.50

157.07

174.33

94.17

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

42.22
46.55
42.15
28.92
28.92
....
....
13.23
4.40
4.42
.02
....

56.95
52.33
45.13
28.75
28.74
....
....
16.39
7.20
6.24
.96
....

51.31
74.22
71.41
51.80
51.80
....
....
19.61
2.81
2.68
.13
....

106.27
135.63
121.45
97.31
96.58
.73
....
24.15
14.17
12.83
1.34
....

62.79
78.27
69.50
57.33
57.33
....
....
12.16
8.77
8.24
.54
....

58.58
59.66
56.89
54.89
54.88
....
....
2.00
2.78
1.57
1.21
....

117.44
117.52
109.31
91.35
91.33
.02
....
17.96
8.21
7.45
.76
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
470
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Japan

158
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

4.32
5.48
3.78
3.78
....
....
1.70
1.16
2.28
1.13
....

4.62
6.67
8.92
8.92
....
....
2.25
2.05
.85
1.20
....

22.91
14.37
10.53
10.53
....
....
3.84
8.54
7.93
.61
....

29.36
28.63
24.87
24.87
....
....
3.75
.73
2.00
2.74
....

15.48
11.92
10.73
10.73
....
....
1.19
3.56
.45
3.11
....

1.08
4.75
7.66
7.52
.15
....
2.91
3.67
4.76
1.08
....

.08
1.43
3.43
3.44
....
....
2.01
1.51
.51
1.00
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

13.27
196.40
22.97
....
1.80
.02
21.15
....
173.43
....
51.23
.35
122.54
....
183.13
131.32
....
13.00
....
118.31
....
51.81
....
6.71
46.50
1.40
....

127.52
71.04
25.04
....
1.38
.02
23.63
....
46.00
....
20.30
.13
66.43
....
198.56
71.44
....
15.51
....
55.92
....
127.12
....
4.89
107.37
14.86
....

73.13
123.45
26.09
....
1.67
....
24.42
....
97.36
....
17.10
.64
79.63
....
196.58
45.45
....
.39
....
45.07
....
151.13
....
.98
153.12
2.97
....

292.60
189.64
65.56
....
3.51
.04
62.02
....
124.08
....
15.29
.10
108.69
....
102.96
69.69
....
4.54
....
65.15
....
33.27
....
2.72
16.37
14.17
....

216.50
160.25
29.69
....
.41
.07
30.03
....
130.56
....
80.90
.22
49.88
....
56.26
12.43
....
3.37
....
9.07
....
68.69
....
7.13
64.05
11.77
....

151.00
262.64
21.46
....
.02
.05
21.40
....
241.18
....
96.39
.07
144.72
....
111.64
40.33
....
8.02
....
32.31
....
71.31
....
.46
74.85
3.99
....

161.05
103.05
12.45
....
.64
.16
12.93
....
90.60
....
42.60
1.01
49.01
....
264.10
5.64
....
1.67
....
3.98
....
258.46
....
2.08
264.83
8.46
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

6.53
230.59
237.12

2.46
143.48
141.03

2.80
188.50
185.71

24.79
271.95
247.16

10.55
333.85
323.30

11.94
403.46
391.51

17.08
407.49
390.41

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

60.66
106.60
....
106.60
....
29.80
14.29
91.08
....
45.94
....
....
45.94
....
9.38
6.42
43.07
....

175.36
86.24
....
86.24
....
7.50
3.48
82.22
....
89.12
....
....
89.12
....
48.83
4.29
14.85
....

211.86
260.78
....
260.78
....
195.65
.36
64.78
....
48.92
....
....
48.92
....
.32
.34
47.32
....

201.45
139.46
....
139.46
....
39.12
6.90
185.48
....
61.99
....
....
61.99
....
60.87
120.24
119.24
....

138.59
202.75
....
202.75
....
202.63
9.78
9.90
....
64.15
....
17.80
81.95
....
49.54
124.02
22.55
....

67.16
130.14
....
130.14
....
116.65
13.01
.49
....
197.30
....
....
197.30
....
93.24
.22
114.80
....

21.76
92.68
....
92.68
....
64.50
6.35
34.53
....
114.44
....
....
114.44
....
20.83
18.57
114.57
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

22.33
....
.03
3.44
25.80

31.98
....
.09
1.06
32.95

36.52
....
.08
.61
37.06

30.88
....
.08
1.26
29.54

26.92
....
17.83
1.55
7.55

43.85
....
.03
.36
43.46

176.62
....
.85
12.93
164.54

NET ERRORS AND OMISSIONS.........................

....

15.90

32.00

16.11

49.61

15.04

24.62

25.39

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
471
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Japan

158
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 4,294.88 4,697.21 5,360.12 5,731.50 6,039.04 6,933.79 7,505.52
Direct investment............................................. 8A9999 A AA
....
390.60
454.84
547.51
690.82
753.20
846.22
979.20
Equity and investment fund shares................. 8AA000 A AA
....
368.72
429.53
519.33
644.66
704.41
796.39
922.89
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
368.51
429.28
518.96
644.10
704.12
....
.21
.25
.37
.56
.28
....
....
....
....
....
....
....
21.88
25.31
28.18
46.16
48.79
....
20.67
23.32
26.44
42.35
44.49
....
1.21
1.98
1.74
3.81
4.31
....
....
....
....
....
....
. . . . 2,114.89 2,343.48 2,523.57 2,376.66 2,845.85
....
408.57
510.42
573.47
394.67
594.04
....
....
....
....
....
....
....
6.86
10.22
13.54
14.47
14.08
....
....
....
....
.26
.08
....
401.72
500.20
559.93
379.94
579.88
....
....
....
....
....
....
. . . . 1,706.31 1,833.06 1,950.10 1,981.99 2,251.81
....
....
....
....
....
....
....
575.43
564.99
584.96
604.75
709.47
....
7.38
6.42
5.02
5.12
5.14
. . . . 1,123.50 1,261.66 1,360.12 1,372.11 1,537.20
....
....
....
....
....
....
....
26.31
23.03
38.96
77.38
46.18
....
920.10
981.07 1,282.69 1,562.01 1,342.59
....
....
....
....
....
....
....
920.10
981.07 1,282.69 1,562.01 1,342.59
....
....
....
....
....
....
....
463.01
456.66
686.99
932.26
740.25
....
198.81
197.17
204.52
255.36
261.04
....
258.28
327.24
391.19
374.39
341.31
....
....
....
....
....
....
....
842.98
894.79
967.39 1,024.64 1,051.21
....
12.57
15.64
20.42
21.17
27.18
....
2.58
2.81
3.03
3.03
20.97
....
2.88
1.93
1.39
2.66
4.31
....
824.95
874.41
942.54
997.78
998.75

795.86
.52
....
49.83
43.76
6.07
....
3,345.83
678.48
....
16.76
.12
661.60
....
2,667.35
....
887.09
6.32
1,773.94
....
52.63
1,592.39
....
1,592.39
....
921.79
300.47
370.14
....
1,096.72
34.72
20.63
4.61
1,036.77

922.31
.58
....
56.31
49.20
7.11
....
3,375.24
665.85
....
16.98
.10
648.77
....
2,709.40
....
911.32
5.64
1,792.43
....
53.88
1,803.81
....
1,803.81
....
1,063.35
304.53
435.93
....
1,293.39
37.59
19.75
17.18
1,218.87

. . . . 2,764.40 2,890.38 3,166.57 3,247.90 3,147.20 3,846.08 4,250.09


....
104.91
112.91
137.74
213.86
212.42
230.02
242.20
....
82.75
91.05
107.92
174.21
174.61
204.01
215.11
....
82.70
90.95
107.88
174.17
174.49
203.84
215.08
....
.05
.10
.05
.04
.12
.17
.04
....
....
....
....
....
....
....
....
....
22.16
21.85
29.82
39.65
37.81
26.01
27.09
....
19.62
18.92
27.09
33.57
30.24
17.63
18.40
....
2.54
2.94
2.73
6.08
7.57
8.38
8.69
....
....
....
....
....
....
....
....
. . . . 1,542.42 1,762.89 1,942.87 1,546.09 1,541.35 1,871.72 2,026.26
. . . . 1,126.07 1,254.95 1,245.89
756.20
829.59
988.79
847.16
....
....
....
....
....
....
....
....
....
101.97
110.08
80.57
58.56
55.25
78.85
65.10
....
....
....
....
....
....
....
....
. . . . 1,024.10 1,144.87 1,165.32
697.64
774.34
909.94
782.06
....
....
....
....
....
....
....
....
....
416.35
507.94
696.98
789.89
711.76
882.93 1,179.09
....
....
....
....
....
....
....
....
....
23.34
28.10
29.66
25.83
31.58
34.04
33.13
....
326.72
402.27
587.23
689.34
618.48
786.78 1,096.51
....
66.29
77.56
80.09
74.72
61.71
62.11
49.46
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
472
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Japan

158
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: yen per U.S. dollar (end of


period)........................................................... AEZ F B

....

2005

....
33.23
. . . . 1,083.83
....
....
....
1.27
. . . . 1,082.55
....
....
....
702.88
....
35.30
....
344.37
....
....

2006

2007

2008

2009

2010

2011

30.16
43.55
85.52
56.63
64.66
72.58
984.43 1,042.41 1,402.43 1,336.81 1,679.67 1,909.05
....
....
....
....
....
....
1.34
1.41
1.37
19.26
18.92
18.86
983.09 1,041.00 1,401.06 1,317.55 1,660.75 1,890.19
....
....
....
....
....
....
643.77
662.49 1,001.77
934.41 1,143.70 1,185.10
14.27
16.33
22.37
36.00
28.77
50.92
325.04
362.18
376.92
347.14
488.28
654.16
....
....
....
....
....
....

. . . . 1,530.48 1,806.83 2,193.55 2,483.60 2,891.84 3,087.72 3,255.44


....

117.97

118.95

114.00

90.75

92.06

81.45

77.72

_______________________________________________________________________________________________________________________________
473
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jordan

439
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
. . . . 2,271.7 1,726.0 2,874.8 2,054.2 1,243.7 1,882.1 3,470.3
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

4,888.0

4,666.0

5,737.4

6,117.9

5,022.2

5,704.2

8,336.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

3,029.9
413.5

3,378.8
438.8

3,594.8
732.2

4,698.1
634.3

4,433.8
655.4

4,372.5
550.4

5,365.5
499.7

B. Capital Account........................................... 20999F B AA

....

8.5

62.8

12.8

283.9

.6

.3

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

8.5
....

2,263.2

62.8
....

12.8
....

283.9
....

.6
....

.3
....

....
....

C. Financial Account......................................... 30999F N AA

....

1,848.7 3,318.9 3,220.2 2,746.6 3,978.0 2,586.2 1,677.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

163.2
....
....

138.1
....
....

48.1
....
....

12.8
....
....

72.4
....
....

28.5
....
....

30.8
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,984.5
....
....

3,544.0
....
....

2,622.1
....
....

2,826.7
....
....

2,413.1
....
....

1,650.8
....
....

1,469.0
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

143.6
143.6
....

180.4
180.4
....

494.4
13.3
481.1

51.9
2.7
49.2

600.0
4.4
604.4

41.0
8.0
49.0

282.5
8.9
291.4

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

169.1
169.1
....

143.6
143.6
....

346.0
346.0
....

521.1
521.1
....

29.6
29.6
....

729.6
20.4
750.0

11.1
109.4
98.3

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

615.9
....
615.9

1,148.0
....
1,148.0

939.6
....
939.6

734.6
....
734.6

1,503.4
....
1,503.4

1,228.7
....
1,228.7

522.5
....
522.5

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

330.6
....
330.6

821.6
....
821.6

745.4
....
745.4

1,375.0
....
1,375.0

763.5
....
763.5

1,422.0
....
1,422.0

468.5
....
468.5

D. Net Errors and Omissions............................. 40999S N AA

....

675.3

214.0

531.8

220.8

392.7

E. Reserves and Related Items.......................... 4Z999S N AA

....

260.8

1,441.7

890.0

1,197.1

3,127.5

1,459.8 1,652.6

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

183.5
77.2
....

1,353.3
88.4
....

813.6
76.4
....

1,137.6
59.4
....

3,112.0
15.5
....

1,455.9
3.9
....

1,652.6
....
....

Conversion rates: Jordanian dinar per U.S.


dollar............................................................. RFZ F B

....

.7090

.7090

.7090

.7097

.7100

.7100

.7100

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

4,301.4
9,317.3

5,204.4
10,260.2

5,731.5
12,183.2

7,937.1
15,102.0

6,375.1
12,641.1

7,028.3
13,822.4

8,006.3
16,825.6

5,015.9

5,055.9

6,451.8

7,164.9

6,266.0

6,794.1

8,819.3

2,333.6
2,542.0

2,907.5
2,970.7

3,548.4
3,517.3

4,478.0
4,126.5

4,554.2
3,817.6

5,600.0
4,419.0

5,138.5
4,475.5

5,224.4

5,119.0

6,420.7

6,813.4

5,529.4

5,613.1

8,156.3

791.3
454.9

1,031.9
578.8

1,403.8
720.5

1,335.7
640.3

1,092.9
585.6

1,010.8
1,102.0

795.4
975.1

414.5

1,663.2

1,655.7

2,861.9

358.3

1,770.3

976.3

1,243.2

2,734.8

1,881.8

3,470.3

704.4

1,792.5

755.4

140.0

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
474
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jordan

439
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 2,271.7 1,726.0 2,874.8 2,054.2 1,243.7 1,882.1 3,470.3
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 5,224.4 5,119.0 6,420.7 6,813.4 5,529.4 5,613.1 8,156.3
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
6,635.0
8,111.8
9,279.8 12,415.1 10,929.3 12,628.3 13,144.8
. . . . 11,859.4 13,230.9 15,700.6 19,228.5 16,458.7 18,241.4 21,301.1
. . . . 5,015.9 5,055.9 6,451.8 7,164.9 6,266.0 6,794.1 8,819.3
....
4,301.4 5,204.4 5,731.5 7,937.1 6,375.1 7,028.3 8,006.3
....
4,297.6
4,927.5
5,685.1
7,855.1
6,138.0
6,828.2
7,743.4
....
....
....
....
....
....
....
....
....
3.8
276.9
46.4
82.0
237.1
200.1
263.0
....
9,317.3 10,260.2 12,183.2 15,102.0 12,641.1 13,822.4 16,825.6
....
9,248.7 10,223.7 12,089.0 14,948.4 12,618.3 13,808.2 16,794.4
....
68.7
36.5
94.2
153.5
22.9
14.2
31.3
....
208.5
63.2
31.0
351.5
736.6 1,181.0
663.0
....
2,333.6
2,907.5
3,548.4
4,478.0
4,554.2
5,600.0
5,138.5
....
2,542.0
2,970.7
3,517.3
4,126.5
3,817.6
4,419.0
4,475.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
469.8
527.6
660.6
835.7
795.1 1,118.6 1,188.2
317.8
366.0
443.3
595.6
560.8
804.8
858.7
....
....
46.1
39.8
69.7
41.7
47.5
45.5
43.2
....
105.9
121.9
147.7
198.4
186.8
268.3
286.2
....
1,341.6 1,536.0 1,814.0 2,240.0 1,946.5 2,125.5 2,500.3
68.0
119.2
141.3
136.4
138.5
163.9
119.0
....
....
942.2
1,037.5
1,232.2
1,527.2
1,278.5
1,397.9
1,701.4
....
331.5
379.3
440.5
576.4
529.6
563.7
679.9
....
1,440.6 2,060.4 2,310.7 2,942.6 2,911.0 3,584.9 2,999.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
585.2
837.0
882.7 1,003.6 1,063.9 1,571.5 1,160.6
....
....
....
....
....
....
....
....
....
585.2
837.0
882.7
1,003.6
1,063.9
1,571.5
1,160.6
....
423.1
319.5
577.0
699.8
848.2
896.5
950.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
328.6
262.2
464.7
575.0
490.6
517.0
547.9
....
....
....
....
....
....
....
....
....
94.5
57.3
112.3
124.8
357.6
379.4
402.7
....
615.2
597.7
820.7
882.9
807.2
722.0
814.6
....
....
....
....
....
....
....
....
....
209.4
230.6
273.8
339.3
284.1
310.7
378.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
328.6
250.5
385.8
343.2
377.7
304.4
317.7
....
....
....
....
....
....
....
....
....
77.2
116.6
161.2
200.4
145.4
106.9
118.7
....
....
....
....
....
....
....
....
....
....
....

336.4
791.3
454.9
320.9
41.2
470.4
....
....
....
....
....

453.0
1,031.9
578.8
369.0
47.4
662.9
....
....
....
....
....

683.4
1,403.8
720.5
440.5
56.7
963.3
....
....
....
....
....

695.4
1,335.7
640.3
634.9
55.7
700.8
....
....
....
....
....

507.3
1,092.9
585.6
478.5
59.2
614.4
....
....
....
....
....

91.1
1,010.8
1,102.0
475.4
58.5
535.5
....
....
....
....
....

179.7
795.4
975.1
421.7
51.8
373.7
....
....
....
....
....

_______________________________________________________________________________________________________________________________
475
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jordan

439
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
470.4
....
470.4
....
....
....
....
413.7
73.6
....
....
....
....
....
....
....
....
....
340.1
....
340.1
....
....
....

....
....
....
....
....
662.9
....
662.9
....
....
....
....
531.5
130.0
....
....
....
....
....
....
....
....
....
401.4
....
401.4
....
....
....

....
....
....
....
....
963.3
....
963.3
....
....
....
....
663.8
160.4
160.4
160.4
....
....
....
....
....
....
....
503.4
....
503.4
....
....
....

....
....
....
....
....
700.8
....
700.8
....
....
....
....
584.6
255.7
255.7
255.7
....
....
....
....
....
....
....
328.9
....
328.9
....
....
....

....
....
....
....
....
614.4
....
614.4
....
....
....
....
526.5
313.0
313.0
294.4
18.6
....
....
....
....
....
....
213.5
....
213.5
....
....
....

....
....
....
....
....
535.5
....
535.5
....
....
....
....
1,043.5
813.5
813.5
403.1
410.4
....
....
....
....
....
....
230.0
....
230.0
....
....
....

....
....
....
....
....
373.7
....
373.7
....
....
....
....
923.2
713.4
713.4
434.5
278.9
....
....
....
....
....
....
209.9
....
209.9
....
....
....

....
....
....
....
....
....
....
....
....
....
....

2,616.4
3,029.9
752.0
2,277.9
2,178.8
99.0
413.5
6.6
406.9
308.0
98.9

2,940.1
3,378.8
844.6
2,534.3
2,514.4
19.9
438.8
34.1
404.7
354.2
50.5

2,862.6
3,594.8
462.5
3,132.3
2,993.7
138.6
732.2
4.9
727.2
422.6
304.7

4,063.8
4,698.1
1,324.6
3,373.5
3,159.2
214.3
634.3
2.5
631.8
416.1
215.7

3,778.5
4,433.8
963.5
3,470.3
3,118.6
351.7
655.4
17.9
637.5
443.1
194.4

3,822.1
4,372.5
1,101.4
3,271.1
3,165.2
105.9
550.4
3.7
546.8
436.3
110.4

4,865.8
5,365.5
2,018.5
3,347.0
3,031.1
315.9
499.7
1.7
498.0
387.6
110.4

....
....
....
....
....
....
....
....
....
....
....
....
....

8.5
....
....
8.5
....
....
....
8.5
....
....
....
....
....

62.8
....
....
62.8
....
....
....
62.8
....
....
....
....
....

12.8
....
....
12.8
....
....
....
12.8
....
....
....
....
....

283.9
....
....
283.9
....
....
....
283.9
....
....
....
....
....

.6
....
....
.6
....
....
....
.6
....
....
....
....
....

.3
....
....
.3
....
....
....
.3
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

. . . . 1,821.3 3,682.1 2,574.0 2,813.9 2,340.7 1,622.4 1,438.2


....
163.2
138.1
48.1
12.8
72.4
28.5
30.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

1,587.9 1,877.2 2,330.2 1,549.5

850.4 1,126.4 3,330.3

_______________________________________________________________________________________________________________________________
476
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jordan

439
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,984.5
....
....
....
....
....
....
....
....
....
....

3,544.0
....
....
....
....
....
....
....
....
....
....

2,622.1
....
....
....
....
....
....
....
....
....
....

2,826.7
....
....
....
....
....
....
....
....
....
....

2,413.1
....
....
....
....
....
....
....
....
....
....

1,650.8
....
....
....
....
....
....
....
....
....
....

1,469.0
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

312.7
143.6
143.6
....
143.6
....
....
....
....
....
....
....
....
....
169.1
169.1
....
....
....
169.1
....
....
....
....
....
....
....

36.8
180.4
180.4
....
180.4
....
....
....
....
....
....
....
....
....
143.6
143.6
....
....
....
143.6
....
....
....
....
....
....
....

840.3
494.4
13.3
....
13.3
....
....
....
481.1
....
481.1
....
....
....
346.0
346.0
....
....
....
346.0
....
....
....
....
....
....
....

573.1
51.9
2.7
....
2.7
....
....
....
49.2
....
49.2
....
....
....
521.1
521.1
....
....
....
521.1
....
....
....
....
....
....
....

629.6
600.0
4.4
....
4.4
....
....
....
604.4
....
604.4
....
....
....
29.6
29.6
....
....
....
29.6
....
....
....
....
....
....
....

770.6
41.0
8.0
....
8.0
....
....
....
49.0
....
49.0
....
....
....
729.6
20.4
....
....
....
20.4
....
750.0
....
....
750.0
....
....

293.7
282.5
8.9
....
8.9
....
....
....
291.4
....
291.4
....
....
....
11.1
109.4
....
....
....
109.4
....
98.3
....
....
98.3
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

362.6
615.9
....
615.9
36.0
580.0
....
....
....
253.4
....
....
253.4
86.4
272.6
74.6
7.5
....

414.8
1,148.0
....
1,148.0
58.7
1,089.3
....
....
....
733.2
....
....
733.2
9.4
804.5
183.9
103.2
....

270.6
699.9 2,251.3
939.6
734.6 1,503.4
....
....
....
939.6
734.6 1,503.4
58.3
41.9
26.8
881.4
939.5 1,386.2
....
....
....
....
163.1
143.9
....
....
....
669.0 1,434.4
747.9
....
....
....
....
....
226.8
669.0 1,434.4
521.1
74.2
45.1
73.7
814.2
1,027.2
214.8
146.4 2,577.5
217.6
75.3
70.8
162.4
....
....
....

189.3
1,228.7
....
1,228.7
32.0
1,120.7
....
76.1
....
1,418.1
....
....
1,418.1
594.8
445.4
223.0
600.8
....

54.1
522.5
....
522.5
27.7
506.2
....
11.4
....
468.5
....
....
468.5
509.9
243.7
237.3
497.3
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

183.5
....
.9
.1
184.3

1,353.3
1.0
.5
.1
1,353.7

813.6
40.6
.8
.1
772.1

1,137.6
39.7
1.2
....
1,176.1

3,112.0
....
226.0
.1
2,885.9

1,455.9 1,652.6
....
....
.2
.2
....
....
1,456.1 1,652.4

NET ERRORS AND OMISSIONS.........................

....

675.3

214.0

531.8

220.8

392.7

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

755.4

140.0

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
477
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jordan

439
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 14,452.6 17,138.0 18,681.5 18,972.5 21,323.2 24,017.5 22,929.6
Direct investment............................................. 8A9999 A AA
....
449.6
311.6
359.7
372.4
444.4
473.1
504.1
Equity and investment fund shares................. 8AA000 A AA
....
449.6
311.6
359.7
372.4
444.4
473.1
504.1
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

449.6
....
....
....
....
....
....
719.2
92.1
....
60.8
....
31.3
....
627.1
....
627.1
....
....
....
....
7,835.8
....
7,835.8
1,140.8
6,695.1
....
....
....
5,447.9
212.3
.6
.2
5,234.8

311.6
....
....
....
....
....
....
902.0
61.2
....
27.4
....
33.9
....
840.8
....
840.8
....
....
....
....
8,946.1
....
8,946.1
1,161.9
7,784.2
....
....
....
6,978.3
257.1
1.3
.3
6,719.6

359.7
....
....
....
....
....
....
410.7
71.1
....
40.9
....
30.2
....
339.6
....
339.6
....
....
....
....
9,982.1
....
9,982.1
1,164.9
8,665.6
....
151.6
....
7,929.0
387.0
2.2
.4
7,539.4

372.4
444.4
473.1
504.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
353.6
960.1
930.6
648.0
69.1
88.0
96.1
104.8
....
....
....
....
40.9
61.3
69.3
78.0
....
....
....
....
28.2
26.8
26.8
26.8
....
....
....
....
284.5
872.1
834.5
543.2
....
....
....
....
284.5
872.1
834.5
543.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
9,331.0 7,795.8 8,996.5 9,689.3
....
....
....
....
9,331.0 7,795.8 8,996.5 9,689.3
1,293.8
1,297.5
1,301.5
1,488.5
7,722.3
6,327.7
7,448.5
7,954.9
....
....
....
....
314.9
170.6
246.5
245.9
....
....
....
....
8,915.5 12,122.9 13,617.4 12,088.2
356.4
449.9
579.6
636.8
3.2
230.0
225.8
224.8
.4
.5
.5
.5
8,555.5 11,442.5 12,811.5 11,226.1

. . . . 34,366.7 32,618.4 40,517.3 38,662.0 38,364.5 42,136.8 43,970.7


. . . . 13,228.8 12,713.1 19,012.7 20,405.8 20,761.4 21,898.6 23,367.6
. . . . 13,228.8 12,713.1 19,012.7 20,405.8 20,761.4 21,898.6 23,367.6
. . . . 13,228.8 12,713.1 19,012.7 20,405.8 20,761.4 21,898.6 23,367.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
8,210.0 5,896.5 6,531.9 4,385.1 3,329.6 4,116.5 3,945.4
....
8,210.0 5,896.5 6,531.9 4,385.1 3,329.6 3,397.0 3,293.7
....
....
....
....
....
....
....
....
....
7,382.2
5,063.9
5,557.6
3,562.6
2,549.4
2,694.6
2,481.8
....
....
....
....
....
....
....
....
....
827.8
832.6
974.3
822.5
780.1
702.4
811.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
719.4
651.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
719.4
651.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
478
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Jordan

439
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Jordanian dinar per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
. . . . 12,927.8 14,008.8 14,972.7 13,871.1 14,273.5 16,121.8 16,657.7
....
....
....
....
....
....
....
....
....
24.1
25.4
26.7
26.0
254.1
249.6
248.8
. . . . 12,903.7 13,983.4 14,946.0 13,845.1 14,019.4 15,872.2 16,408.9
....
394.6
414.3
345.7
390.1
320.9
899.5
892.9
....
5,233.7
5,946.3
6,760.5
7,786.4
7,992.7
8,438.0
8,681.7
....
6,561.2
6,784.4
6,915.4
4,677.1
4,840.7
4,783.7
4,789.9
....
714.1
838.5
924.4
991.5
865.1
1,751.0
2,044.5
....
....
....
....
....
....
....
....
. . . . 19,914.1 15,480.5 21,835.8 19,689.6 17,041.3 18,119.3 21,041.1
....

.7090

.7090

.7090

.7092

.7100

.7100

.7100

_______________________________________________________________________________________________________________________________
479
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kazakhstan

916
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
. . . . 1,055.8 1,998.6 8,321.9 6,325.5 4,114.0 2,408.5 14,110.0
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

28,299.2
17,953.2

38,761.4
24,069.7

48,349.8
33,121.9

71,966.5
38,352.2

43,923.4
28,919.5

61,578.6
32,880.4

88,467.0
41,163.0

10,346.0

14,691.8

15,227.9

33,614.3

15,003.9

28,698.2

47,304.0

2,229.8
7,521.3

5,054.5

2,819.4
8,811.1

8,700.1

3,565.7
11,868.1

6,925.5

4,429.9
11,218.9

26,825.3

4,243.5
10,081.7

9,165.7

4,258.8
11,365.8

21,591.1

4,511.8
10,965.5

40,850.3

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

680.3
6,377.2

1,430.5
10,922.0

791.3

3,463.5
16,551.4

6,162.4

3,240.7
22,755.8

7,310.2

2,492.7
15,050.0

3,391.6

1,822.0
20,524.0

2,889.1

1,942.2
28,426.6

14,365.9

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

810.0
1,223.5

904.2
2,111.4

903.8
3,063.3

1,104.2
2,088.8

952.8
1,675.2

1,466.8
1,947.4

2,755.4
3,011.2

B. Capital Account........................................... 20999F B AA

....

14.0

31.9

24.6

12.6

29.5

7,890.2

9.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

120.9
106.9

106.6
74.7

116.3
91.7

85.1
97.7

94.4
123.9

7,967.4
77.3

94.3
85.0

C. Financial Account......................................... 30999F N AA

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

429.0
106.8
322.2

948.3
857.4
90.9

4,006.9
2,232.6
1,774.4

3,701.0
4,108.8
407.8

4,192.6
1,809.6
2,383.0

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

2,546.1
236.7
2,309.4

7,611.2
1,374.9
6,236.2

11,972.8
7,321.6
4,651.2

16,818.9
6,949.3
9,869.6

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

5,157.1
423.8
4,733.3

9,176.7
1,847.4
7,329.3

4,101.3
1,531.6
2,569.7

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1,204.4
149.7
1,054.7

4,675.4
2,788.9
1,886.5

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

112.6
119.7
7.0

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

....
....
....
....

Balance on goods and services...................................... 1Z9999 B XN

Current + capital financial account balance............... 4Y999F N AA

642.4

1,041.8

4,143.4

10,298.7

14,119.3

898.0 16,168.9 8,235.0 1,622.3 7,383.7

8,583.4

8,001.9

3,700.5
6,213.7
2,513.2

4,847.1
4,495.5
351.7

14,275.9
4,183.4
10,092.4

6,631.7
3,276.8
3,354.9

13,227.2
5,043.0
8,184.2

7,277.6
593.5
7,871.1

1,868.8
619.6
2,488.3

7,193.7
824.5
6,369.2

13,539.6
462.2
13,077.4

481.8
828.3
1,310.2

2,099.9
1,280.4
819.5

1,179.0
37.8
1,141.3

15,716.8
132.2
15,584.5

70.0
39.5
30.5

67.8
91.6
23.8

366.6
614.0
247.3

187.3
363.3
550.5

59.4
367.2
307.8

8.7
264.6
255.9

126.1
226.2
100.2

4,310.4
....
4,310.4

8,032.6
....
8,032.6

11,910.9
....
11,910.9

3,633.5
....
3,633.5

1,080.5
....
1,080.5

6,470.3
....
6,470.3

3,776.0
....
3,776.0

7,156.7
....
7,156.7

22,107.7
....
22,107.7

17,129.7
....
17,129.7

1,328.1
....
1,328.1

4,726.4 13,576.2
....
....
4,726.4 13,576.2

737.6
....
737.6

143.8

1,966.6

14,202.3

8,297.3

62.3

6,312.9

7,935.2

3,240.2

1,715.3

6,117.4

D. Net Errors and Omissions............................. 40999S N AA

....

1,800.0 3,127.7 2,966.4 5,746.5

783.1

3,003.6 5,822.7

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,943.8 11,074.6 3,028.7

2,188.8

2,457.1

4,718.9

294.8

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1,943.8
....
....

11,074.6
....
....

3,028.7
....
....

2,188.8
....
....

2,457.1
....
....

4,718.9
....
....

294.8
....
....

Conversion rates: tenge per U.S. dollar............ RFZ F B

....

132.88

126.09

122.55

120.30

147.50

147.36

146.62

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
480
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kazakhstan

916
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
. . . . 1,055.8 1,998.6 8,321.9 6,325.5 4,114.0 2,408.5 14,110.0
GOODS AND SERVICES..................................... 1Z9999 B XN
....
5,054.5 8,700.1 6,925.5 26,825.3 9,165.7 21,591.1 40,850.3
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

30,529.0
25,474.5
10,346.0
28,299.2
28,299.2
....
....
17,953.2
17,953.2
....
5,291.5
2,229.8
7,521.3
....
....
1.4
25.6
1,024.4

41,580.8
32,880.7
14,691.8
38,761.4
38,761.4
....
....
24,069.7
24,069.7
....
5,991.7
2,819.4
8,811.1
....
....
.7
50.7
1,461.0

51,915.5
44,990.0
15,227.9
48,349.8
48,348.1
1.7
....
33,121.9
33,121.9
....
8,302.4
3,565.7
11,868.1
....
....
3.0
138.3
1,739.7

76,396.4
49,571.1
33,614.3
71,966.5
71,964.2
2.3
....
38,352.2
38,352.2
....
6,789.0
4,429.9
11,218.9
....
....
6.6
99.8
2,245.6

48,166.9
39,001.2
15,003.9
43,923.4
43,923.4
....
....
28,919.5
28,919.5
....
5,838.3
4,243.5
10,081.7
....
....
7.7
42.3
2,170.8

65,837.3
44,246.2
28,698.2
61,578.6
61,578.6
....
....
32,880.4
32,880.4
....
7,107.0
4,258.8
11,365.8
....
....
5.5
33.8
2,283.4

92,978.7
52,128.4
47,304.0
88,467.0
88,467.0
....
....
41,163.0
41,163.0
....
6,453.7
4,511.8
10,965.5
....
....
3.2
44.5
2,230.1

1,171.2

1,520.3

2,126.1

2,373.6

1,868.8

1,887.6

2,184.0

700.9
132.8
568.1
753.0
160.1
592.9
503.2
2.0
3.8
18.3
....
71.1
178.6
.2
229.1
5,571.6
1,941.4
173.4
47.5
30.9
121.6
3,119.8
16.5
120.4

837.9
153.1
684.8
820.7
125.1
695.6
519.8
3.5
8.9
22.0
....
77.8
172.4
.3
235.0
6,419.3
3,237.7
253.7
182.4
48.4
145.7
2,397.3
15.2
138.9

1,013.0
167.2
845.8
1,081.9
151.4
930.5
810.0
5.5
35.4
75.6
....
85.9
293.2
1.1
313.3
8,521.9
4,352.1
246.1
193.1
68.0
179.4
3,209.2
17.5
256.4

1,011.6
156.4
855.2
1,077.8
116.7
961.1
1,166.2
18.2
83.2
112.5
....
102.4
404.8
.8
444.3
7,667.8
3,187.7
263.3
323.5
86.7
205.3
3,371.6
25.1
204.6

962.8
140.9
821.9
1,132.1
130.6
1,001.4
1,102.2
6.4
114.6
48.8
....
124.6
386.0
.8
420.9
7,038.6
2,057.1
325.1
285.5
65.1
236.0
3,858.0
28.5
183.3

1,004.8
125.7
879.1
1,272.6
82.7
1,189.9
965.1
23.2
74.8
28.6
....
93.6
384.6
1.8
358.5
8,171.9
1,666.0
322.5
255.3
85.5
223.7
5,411.7
37.0
170.2

1,208.5
132.0
1,076.5
1,630.7
79.5
1,551.2
1,069.9
43.6
91.5
28.3
....
103.7
402.3
1.0
399.6
7,106.3
1,899.5
342.8
187.1
94.3
222.9
4,180.6
54.2
124.8

100.2
757.2
166.9

186.6
898.5
86.0

134.5
1,113.8
212.7

238.9
1,207.7
73.8

199.7
1,311.4
228.6

314.0
1,670.6
141.5

242.7
1,751.3
251.6

283.2
1,886.3
204.0

222.0
1,690.1
258.6

187.4
1,509.6
171.8

230.7
1,764.0
288.7
216.0
1,491.8
179.8

315.2
1,548.7
366.2
219.8
1,706.4
257.8

. . . . 5,696.9 9,491.4 13,087.9 19,515.1 12,557.3 18,702.0 26,484.4


....
680.3
1,430.5
3,463.5
3,240.7
2,492.7
1,822.0
1,942.2
....
6,377.2 10,922.0 16,551.4 22,755.8 15,050.0 20,524.0 28,426.6
....
6.3
10.6
11.1
5.4
5.0
4.6
4.1
....
734.7
959.0 1,214.4 1,457.5 1,309.9 1,349.7 1,784.9
....
674.1 1,420.0 3,452.4 3,235.3 2,487.7 1,817.4 1,938.1
....
162.4
193.6
59.4
188.8
477.6
438.5
29.0
....
.2
1.9
257.2
120.9
40.6
231.0
80.2
....
7.7
1.4
226.1
120.7
40.3
227.6
82.3
....
7.9
.5
31.1
.2
.3
3.5
2.1
....
162.3
195.4
197.8
309.7
518.3
669.5
109.2

_______________________________________________________________________________________________________________________________
481
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kazakhstan

916
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA

....

2005

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

445.7
25.4
....
....
420.2
390.8
....
390.8
....
....
....
....
5,642.6
4,633.1
3,807.4
3,601.0
206.4
825.7
154.3
25.1
....
....
129.3
855.2
....
855.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....

413.5 1,207.2 2,159.5


810.0
904.2
903.8
726.2
810.3
739.7
83.8
93.9
164.1
55.8
73.0
131.9
28.0
20.9
32.2
1,223.5 2,111.4 3,063.3
16.2
23.8
18.9
1,207.2
2,087.6
3,044.4
1,158.5
1,999.5
2,997.9
48.8
88.1
46.5

2007

2008

2009

2010

2011

883.9
1,459.0
1,181.5
1,054.8
961.3
1,212.2
51.8
102.6
119.2
105.2
100.5
199.4
....
....
....
....
....
....
....
....
....
....
....
....
832.0
1,356.3
1,062.3
949.6
860.9
1,012.8
729.6
1,934.1
2,242.6
1,910.5
1,294.5
755.0
....
....
....
....
....
....
729.6
1,934.1
2,242.6
1,910.5
1,294.5
755.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
9,963.0 15,337.0 21,298.4 13,740.1 19,174.3 26,641.7
7,693.7 11,304.9 16,956.0 10,415.3 16,508.0 23,548.0
6,468.4
9,807.8 15,455.8
8,993.1 15,034.7 21,956.5
5,685.4
7,769.5 14,391.7
7,142.6 12,546.2 19,779.7
783.0
2,038.4
1,064.1
1,850.5
2,488.6
2,176.9
1,225.3
1,497.1
1,500.2
1,422.2
1,473.3
1,591.5
341.9
394.5
321.4
251.4
919.8
1,748.1
116.3
100.4
26.2
21.5
108.1
125.5
....
....
....
....
....
....
....
....
....
....
....
....
225.6
294.1
295.2
229.9
811.6
1,622.6
1,927.4
3,637.6
4,021.0
3,073.4
1,746.5
1,345.6
....
....
....
....
....
....
1,927.4
3,637.6
4,021.0
3,073.4
1,746.5
1,345.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
480.6
1,466.8
1,224.6
242.2
220.9
21.3
1,947.4
316.9
1,630.5
1,594.8
35.7

255.8
2,755.4
2,552.3
203.1
175.6
27.5
3,011.2
1,271.7
1,739.5
1,675.1
64.3

12.6
....
....
85.1
4.2
....
4.2
81.0
97.7
....
....
....
97.7

29.5
2.0
....
92.4
.8
....
.8
91.6
123.9
....
....
....
123.9

7,890.2
....
....
7,967.4
2.9
....
2.9
7,964.5
77.3
....
....
....
77.2

9.3
....
....
94.3
6.3
....
6.3
87.9
85.0
....
....
....
85.0

566.4 4,926.5 13,302.3

8,296.6

FINANCIAL ACCOUNT........................................ 30999S N AA

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

. . . . 2,117.1 6,662.9 7,965.9 13,117.9 10,083.3 2,931.2 8,380.1


....
429.0
948.3 4,006.9 3,701.0 4,192.6 3,700.5 4,847.1
....
106.8
857.4 2,232.6 4,108.8 1,809.6 6,213.7 4,495.5
....
114.7
856.9
2,201.4
4,108.7
1,809.3
6,210.2
4,497.6
....
124.5
821.9
2,204.5
4,105.0
1,796.8
6,172.3
4,278.6
....
9.8
35.0
3.1
3.6
12.5
38.0
219.0
....
....
....
....
....
....
....
....
....
7.9
.5
31.1
.2
.3
3.5
2.1
....
322.2
90.9 1,774.4
407.8 2,383.0 2,513.2
351.7
....
83.2
29.0
92.1
21.7
2,660.8 2,430.2
308.5
....
239.0
61.9
1,682.3
429.5
277.8
83.0
43.2
....
....
....
....
....
....
....
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

24.6
....
....
116.3
3.4
....
3.4
112.9
91.7
....
....
....
91.7

722.4
952.8
736.9
215.9
193.2
22.8
1,675.2
24.0
1,651.2
1,624.2
27.0

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

Capital transfers, debit.................................... 20A100 D AA

31.9
....
....
106.6
2.0
....
2.0
104.6
74.7
....
....
....
74.7

984.7
1,104.2
950.9
153.3
120.2
33.1
2,088.8
30.2
2,058.6
2,004.2
54.4

....
....
....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 C GA


Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

14.0
....
....
120.9
1.1
....
1.1
119.9
106.9
....
....
....
106.9

2006

2,841.8 5,094.3 11,263.7

_______________________________________________________________________________________________________________________________
482
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kazakhstan

916
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

....
....
....
....
....
....
....
....
....
....
....

2,546.1
236.7
30.3
30.3
....
....
206.4
2,309.4
1,963.7
345.7
....

7,611.2 11,972.8 16,818.9 14,275.9


1,374.9 7,321.6 6,949.3 4,183.4
592.0
5,283.3
5,885.2
2,332.9
591.8
5,283.4
5,885.2
2,332.9
.2
.2
....
....
....
....
....
....
783.0
2,038.4
1,064.1
1,850.5
6,236.2 4,651.2 9,869.6 10,092.4
5,000.3
5,476.5
6,946.5
8,793.7
1,235.9
825.3
2,923.1
1,298.8
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,952.7
5,157.1
423.8
418.3
....
....
5.6
....
4,733.3
2,552.6
1,762.5
....
418.2
....
1,204.4
149.7
....
167.6
....
17.9
....
1,054.7
99.4
1,026.6
59.8
11.5
....

4,501.4 4,583.1 9,377.5 3,047.8 8,523.1 13,469.6


9,176.7 4,101.3 7,277.6 1,868.8 7,193.7 13,539.6
1,847.4 1,531.6
593.5
619.6
824.5
462.2
1,781.4
1,036.2 1,335.4
700.0
846.2
455.2
....
.1
3.4
3.1
14.9
.8
....
....
....
....
....
....
65.9
495.5
738.5
83.5
36.7
6.1
....
....
....
....
....
....
7,329.3 2,569.7 7,871.1 2,488.3 6,369.2 13,077.4
4,066.2
5,108.5
7,744.2 4,015.3
6,558.6 11,749.4
1,883.0 1,875.4
339.0
160.0
46.7
184.3
....
....
....
....
....
....
1,380.1
663.5
465.9
1,366.9
236.2
1,143.8
....
....
....
....
....
....
4,675.4
481.8 2,099.9 1,179.0 15,716.8
70.0
2,788.9
828.3 1,280.4
37.8
132.2
39.5
....
....
....
....
....
....
1,762.2
361.9
932.8
296.0
.9
23.3
....
....
....
....
....
....
1,026.7
466.4
347.6
333.8
133.1
16.2
....
....
....
....
....
....
1,886.5 1,310.2
819.5 1,141.3 15,584.5
30.5
740.3 2,122.5
97.9
362.2
156.3
224.9
1,186.1
248.3
607.9
776.7
8,072.9
329.7
33.5
11.0
38.4
27.4
48.5
16.6
73.5
553.0
75.3
29.8
7,619.5
601.8
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

112.6
119.7
7.0

366.6
614.0
247.3

187.3
363.3
550.5

59.4
367.2
307.8

8.7
264.6
255.9

126.1
226.2
100.2

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

. . . . 2,846.3 14,075.2 5,218.8


....
4,310.4 8,032.6 11,910.9
....
....
....
....
....
4,310.4 8,032.6 11,910.9
....
73.5
110.7
369.0
....
3,172.4
6,081.5
6,466.9
....
....
212.8
189.6
....
1,064.5
1,627.5
4,885.4
.7
75.0
294.5
....
....
7,156.7 22,107.7 17,129.7
....
....
....
....
....
....
....
....
....
7,156.7 22,107.7 17,129.7
....
17.2
....
1.8
....
6,574.1 16,884.0 11,591.7
....
827.3
.5
57.9
....
1,427.1
5,224.2
5,597.7
92.2
738.9
993.3
....

2,305.4
3,633.5
....
3,633.5
151.4
1,953.8
94.0
1,737.1

5,806.9 20,046.4
1,080.5 6,470.3
....
....
1,080.5 6,470.3
116.0
136.1
402.6
1,455.3
1.0
.2
1,368.1
5,151.2

3,038.4
3,776.0
....
3,776.0
625.3
669.0
1.2
2,482.9

1,328.1 4,726.4 13,576.2


....
....
....
....
537.5
....
1,328.1 5,263.8 13,576.2
.1
102.2
119.7
5,950.1 9,145.9 17,877.8
33.5
607.6
1,424.1
7,244.7
3,172.4
2,757.9

737.6
....
....
737.6
231.8
2,604.8
660.1
2,914.2

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

2006

67.8
91.6
23.8

2007

153.3

2009

106.0

2010

2011

6,631.7 13,227.2
3,276.8 5,043.0
788.2
2,866.2
788.2
2,865.9
....
.3
....
....
2,488.6
2,176.9
3,354.9 8,184.2
7,446.3
8,129.9
4,091.4
54.3
....
....

126.5

76.3

597.4

156.6

40.4

2,188.8
....
....
....
2,188.7

2,457.1
....
537.5
....
1,919.7

4,718.9
....
....
....
4,718.9

1,800.0 3,127.7 2,966.4 5,746.5

783.1

3,003.6 5,822.7

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

. . . . 1,943.8 11,074.6 3,028.7


....
....
....
....
....
....
....
.1
....
....
....
....
. . . . 1,943.8 11,074.6 3,028.7

NET ERRORS AND OMISSIONS.........................

....

40999S N AA

2008

.7

294.8
....
....
....
294.8

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
483
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kazakhstan

916
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 32,718.8 63,319.9 82,419.8 98,674.6 103,943.6 120,161.9 142,472.2
Direct investment............................................. 8A9999 A AA
....
1,402.8 2,887.7 6,970.1 9,141.1 14,008.7 19,314.8 23,342.0
Equity and investment fund shares................. 8AA000 A AA
....
682.8 2,042.9 4,263.5 8,217.5 10,692.0 18,479.9 22,173.9
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
673.8
1,999.4
4,221.9
8,171.7 10,637.6
....
9.0
43.6
41.5
45.8
54.5
....
....
....
....
....
....
....
720.0
844.8 2,706.6
923.6 3,316.7
....
231.4
277.6
398.0
418.6
3,089.5
....
488.6
567.2
2,308.7
505.0
227.2
....
....
....
....
....
....
. . . . 10,962.2 20,104.8 24,842.0 31,591.1 28,076.2
....
1,512.7 3,271.1 4,901.2 3,491.7 4,400.2
....
1,439.5
3,205.0
4,229.4
2,698.9
3,460.9
....
....
....
....
2.6
26.0
....
....
....
....
....
....
....
73.2
66.2
671.8
790.3
913.2
....
....
....
....
....
....
....
9,449.5 16,833.6 19,940.8 28,099.4 23,676.1
....
6,364.0 10,503.7 16,032.8 24,106.3 20,312.5
....
2,584.0
4,493.1
2,671.4
2,301.6
955.9
....
....
....
....
....
....
....
501.6
1,836.9
1,236.7
1,691.4
2,407.6
....
....
....
....
....
....
....
164.3
258.1
866.5 1,296.9
584.2
. . . . 13,119.8 20,942.2 32,111.9 36,773.4 38,181.2
....
....
....
....
....
....
. . . . 13,119.8 20,942.2 32,111.9 36,773.4 38,181.2
....
266.1
377.1
746.5
577.6
697.8
....
6,093.4 12,322.2 19,160.9 21,012.9 21,856.3
....
39.9
252.7
442.3
536.3
535.3
....
6,720.4
7,990.3 11,762.2 14,646.6 15,091.8
17.3
96.1
425.5
483.6
417.1
....
....
7,069.7 19,127.1 17,629.3 19,872.1 23,093.4
....
985.5
1,376.2
1,852.5
2,000.7
2,500.7
....
1.2
1.3
1.4
1.4
540.2
....
....
....
....
....
....
....
6,083.0 17,749.5 15,775.4 17,870.1 20,052.6
. . . . 52,996.1 92,285.3 126,737.3 137,516.6
. . . . 28,152.0 36,773.8 49,399.0 64,923.1
....
8,930.1 11,260.8 19,318.4 24,724.3
....
8,930.1 11,260.6 19,318.4 24,724.3
....
....
.2
....
....
....
....
....
....
....
. . . . 19,222.0 25,513.0 30,080.6 40,198.8
. . . . 17,175.0 22,229.5 27,621.9 34,861.1
....
2,047.0
3,283.5
2,458.8
5,337.6
....
....
....
....
....
....
2,721.1 11,142.1 14,313.3 7,077.6
....
593.2 6,942.5 10,212.2 3,923.4
....
....
....
....
....
....
476.9
5,466.0
5,915.0
1,898.1
....
....
....
....
....
....
116.3
1,476.5
4,297.2
2,025.3
....
....
....
....
....
....
2,127.9 4,199.6 4,101.1 3,154.2
....
99.8
1,073.0
104.8
10.0
....
1,824.8
2,984.1
3,266.2
2,518.3
....
52.3
53.1
60.3
23.8
....
151.0
89.4
669.8
602.2
....
....
....
....
....

147,083.5
78,771.4
29,139.4
29,139.4
....
....
49,632.0
42,988.4
6,643.6
....
8,522.2
4,486.2
....
796.9
....
3,689.4
....
4,036.0
376.1
2,859.6
....
800.3
....

18,125.0
354.8
....
835.0
683.5
151.4
....
33,980.9
5,134.7
4,321.0
38.1
....
775.5
....
28,846.3
26,140.9
778.7
....
1,926.6
....
213.7
38,377.4
....
38,377.4
562.4
18,813.0
535.1
18,466.9

552.7

21,545.4
628.5
....
1,168.1
976.3
191.8
....
47,056.7
5,220.4
4,734.8
30.1
....
455.6
....
41,836.3
37,782.2
982.5
....
3,071.6
....
116.9
42,631.7
....
42,631.7
1,186.9
20,585.6
533.9
20,325.3

461.9

28,275.0 29,324.9
3,052.2
4,150.8
530.6
529.0
....
....
24,692.1 24,645.1
155,052.6
84,913.5
32,571.5
32,571.5
....
....
52,342.0
49,789.0
2,553.0
....
23,911.0
3,882.1
....
630.3
....
3,251.8
....
20,028.9
230.9
10,695.5
49.1
9,053.4
....

164,166.5
97,041.8
37,123.3
37,123.3
....
....
59,918.5
57,320.7
2,597.8
....
20,508.1
2,831.4
....
366.5
....
2,464.9
....
17,676.7
19.8
7,915.2
31.6
9,709.9
....

_______________________________________________________________________________________________________________________________
484
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kazakhstan

916
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: tenge per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
44.3
67.9
313.6
935.6
589.1
373.5
362.4
. . . . 22,078.7 44,301.5 62,711.3 64,580.4 59,200.8 45,854.6 46,254.3
....
....
....
....
....
....
....
....
....
....
....
....
....
538.7
529.2
527.6
. . . . 22,078.7 44,301.5 62,711.3 64,580.4 58,662.1 45,325.4 45,726.7
....
3.8
3.9
2.1
2.2
104.6
240.5
17.5
. . . . 13,491.5 30,339.2 42,680.0 36,702.9 27,330.5
9,252.4
6,684.9
....
1,426.6
1,442.1
1,431.2
1,618.1
2,218.1
3,751.2
4,455.7
....
7,156.8 12,516.3 18,598.0 26,257.2 29,008.9 32,081.3 34,568.6
204.7
982.5
2,134.5
1,499.0
1,271.6
1,220.5
1,218.4
....
. . . . 20,277.3 28,965.4 44,317.5 38,842.0 43,139.9 34,890.8 21,694.3
....

133.98

127.00

120.30

120.79

148.46

147.50

148.40

_______________________________________________________________________________________________________________________________
485
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kenya

664
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
252.3
510.4 1,032.0 1,982.6 1,688.5 2,368.7 3,333.2
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,505.0

2,295.3

3,140.4

4,313.8

3,947.0

4,695.9

6,435.3

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,319.2
66.6

1,832.8
47.9

2,148.8
40.4

2,419.3
88.1

2,341.3
82.8

2,370.4
43.2

3,148.5
46.4

B. Capital Account........................................... 20999F B AA

....

103.3

168.4

156.8

94.5

260.9

240.2

234.9

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

103.3
....

149.0

168.4
....

342.0

156.8
....

94.5
....

260.9
....

240.2
....

234.9
....

C. Financial Account......................................... 30999F N AA

....

511.4

673.6 1,936.4 1,095.4 2,465.8 2,128.2 1,869.4

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

9.7
9.7
....

24.0
24.0
....

36.0
36.0
....

43.8
43.8
....

46.0
46.0
....

1.6
1.6
....

9.4
9.4
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

21.2
5.6
15.6

50.7
3.0
47.7

729.0
665.3
63.7

95.6
22.8
72.8

116.3
31.6
84.7

178.1
89.4
88.7

335.2
39.6
295.7

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

45.9
27.9
18.0

23.6
20.5
3.1

25.5
24.8
.7

35.9
6.3
29.6

23.7
8.8
14.8

51.2
8.5
42.7

81.2
68.6
12.6

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

15.4
3.1
12.3

3.0
1.8
1.2

.8
.5
.3

9.8
5.0
4.8

2.8
2.6
.2

22.2
22.1
.1

23.8
20.1
3.7

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

200.6
....
200.6

259.6
....
259.6

346.7
....
346.7

631.6
....
631.6

544.6
....
544.6

94.7
....
94.7

668.5
....
668.5

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

730.9
....
730.9

362.4

927.1
....
927.1

1,614.8
....
1,614.8

1,701.3
....
1,701.3

1,871.9
....
1,871.9

1,886.0
....
1,886.0

2,269.4
....
2,269.4

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

Conversion rates: kenya shillings per U.S.


dollar............................................................. RFZ F B

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

3,459.5
5,586.5

3,509.0
6,752.1

4,123.2
8,368.7

5,028.6
10,635.6

4,492.1
9,461.2

5,210.9
11,442.2

5,791.8
14,162.1

2,127.1

3,243.1

4,245.5

5,607.0

4,969.1

6,231.3

8,370.3

1,882.8
1,152.3

2,436.8
1,418.9

2,939.6
1,690.3

3,261.9
1,923.6

2,893.0
1,840.4

3,772.2
2,089.1

4,114.5
2,186.5

1,396.6

2,225.3

2,996.2

4,268.6

3,916.5

4,548.3

6,442.2

73.3
181.7

99.4
169.5

160.6
304.8

176.2
221.4

181.9
212.4

144.2
291.9

289.5
282.5

875.2

1,888.1

792.7

1,427.7

1,038.2

2,128.5

3,098.3

331.6

1,061.2

.3

1,228.9

245.4

249.7

249.9

297.4

79.8

117.0

581.3

811.3

495.3

1,118.0

141.6 1,211.7

141.9

17.3

....
....
....

281.2
69.1
95.1

615.8
13.5
48.1

938.2
106.2
20.7

475.9
10.6
30.0

1,317.7
191.5
8.2

129.1
25.4
12.8

63.2
290.1
858.4

....

75.554

72.101

67.318

69.175

77.352

79.233

88.811

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
486
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kenya

664
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
252.3
510.4 1,032.0 1,982.6 1,688.5 2,368.7 3,333.2
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,396.6 2,225.3 2,996.2 4,268.6 3,916.5 4,548.3 6,442.2
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
5,342.2
5,945.8
7,062.8
8,290.6
7,385.1
8,983.1
9,906.3
....
6,738.8
8,171.0 10,059.1 12,559.2 11,301.7 13,531.3 16,348.5
. . . . 2,127.1 3,243.1 4,245.5 5,607.0 4,969.1 6,231.3 8,370.3
....
3,459.5 3,509.0 4,123.2 5,028.6 4,492.1 5,210.9 5,791.8
....
3,451.9
3,502.2
4,069.0
5,020.7
4,465.5
5,098.4
5,723.9
....
....
....
....
....
....
....
....
....
7.6
6.8
54.2
7.9
26.6
112.5
67.9
....
5,586.5 6,752.1 8,368.7 10,635.6 9,461.2 11,442.2 14,162.1
....
5,586.5
6,752.1
8,368.7 10,635.5
9,461.2 11,442.0 14,161.8
....
....
....
.1
.1
....
.2
.2
....
730.5 1,017.8 1,249.3 1,338.4 1,052.6 1,683.1 1,928.1
....
1,882.8
2,436.8
2,939.6
3,261.9
2,893.0
3,772.2
4,114.5
....
1,152.3
1,418.9
1,690.3
1,923.6
1,840.4
2,089.1
2,186.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2.7
7.2
9.0
11.1
10.2
12.0
14.8
....
15.1
17.4
19.5
53.3
28.6
73.0
45.0
....
737.7
992.8 1,130.9 1,286.9 1,084.6 1,649.9 1,743.3
390.0
493.5
596.5
646.3
433.5
820.1
918.2
....
....
265.2
360.3
351.3
458.8
478.1
668.6
657.4
....
82.4
139.0
183.1
181.7
173.0
161.2
167.8
....
426.8
671.3
777.6
860.2
842.7
934.8 1,060.9
....
....
....
....
....
....
....
....
347.1
573.2
694.3
805.6
783.6
828.7
945.6
....
....
79.7
98.1
83.3
54.6
59.1
106.2
115.3
....
579.1
687.5
916.7
752.2
689.9
800.1
925.9
....
64.3
97.7
107.3
84.1
55.8
104.5
102.5
....
514.8
589.8
809.4
668.1
634.2
695.6
823.4
....
123.9
177.8
264.5
265.6
226.7
211.9
197.1
....
53.9
66.6
96.7
118.9
112.9
120.3
85.9
....
69.9
111.2
167.8
146.7
113.8
91.6
111.2
....
563.3
749.2
883.0 1,211.7 1,108.3 1,310.3 1,430.6
....
....
....
....
....
....
....
....
....
10.5
7.3
7.6
10.4
14.1
31.8
33.1
....
....
....
....
....
....
109.5
158.7
....
17.5
9.9
23.0
32.8
19.5
53.8
55.0
....
177.6
281.1
328.4
435.6
376.5
357.2
386.7
....
....
....
....
....
....
....
....
....
.4
.7
2.1
1.9
3.0
2.1
8.0
....
357.4
450.2
522.0
730.9
695.1
756.0
789.0
....
586.5
552.4
628.7
744.4
742.4
869.4
883.5
....
....
....
....
....
....
....
....
....
58.9
72.7
47.2
80.2
90.7
114.9
119.7
....
17.9
23.1
27.5
34.4
37.2
65.2
87.2
....
36.9
19.7
23.6
28.4
21.2
17.8
15.1
....
108.5
131.3
155.1
190.8
187.8
165.0
57.4
....
180.7
137.1
183.1
202.7
212.7
299.9
413.4
....
1.1
1.6
.8
.6
4.9
7.4
7.3
....
182.5
166.8
191.5
207.3
187.9
199.3
183.4

....
....
....
....
....
....
....
....
....
....
....

108.5
73.3
181.7
....
....
73.3
....
....
....
....
....

70.1
99.4
169.5
....
....
99.4
....
....
....
....
....

144.2
160.6
304.8
....
....
160.6
....
....
....
....
....

45.2
176.2
221.4
....
....
176.2
....
....
....
....
....

30.5
181.9
212.4
....
....
181.9
....
....
....
....
....

147.6
144.2
291.9
....
....
144.2
....
....
....
....
....

7.0
289.5
282.5
....
....
289.5
....
....
....
....
....

_______________________________________________________________________________________________________________________________
487
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kenya

664
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
73.3
....
73.3
....
....
....
....
181.7
34.9
34.1
34.1
....
.8
3.8
2.9
....
....
.9
143.0
....
143.0
....
....
....

....
....
....
....
....
99.4
....
99.4
....
....
....
....
169.5
38.9
38.4
38.4
....
.5
5.4
3.3
....
....
2.1
125.2
....
125.2
....
....
....

....
....
....
....
....
160.6
....
160.6
....
....
....
....
304.8
124.0
108.5
108.5
....
15.5
5.3
4.0
....
....
1.2
175.5
....
175.5
....
....
....

....
....
....
....
....
176.2
....
176.2
....
....
....
....
221.4
52.0
43.1
43.1
....
8.9
15.6
13.5
....
....
2.0
153.9
....
153.9
....
....
....

....
....
....
....
....
181.9
....
181.9
....
....
....
....
212.4
60.3
59.4
59.4
....
.9
34.2
30.8
....
....
3.4
117.8
....
117.8
....
....
....

....
....
....
....
....
144.2
....
144.2
....
....
....
....
291.9
60.4
54.0
54.0
....
6.4
51.2
45.4
....
....
5.9
180.3
....
180.3
....
....
....

....
....
....
....
....
289.5
....
289.5
....
....
....
....
282.5
104.9
98.2
98.2
....
6.7
65.0
47.1
....
....
17.9
112.6
....
112.6
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,252.7
1,319.2
100.3
1,218.9
425.0
793.9
66.6
10.1
56.4
56.4
....

1,784.9
1,832.8
123.8
1,709.0
570.5
1,138.5
47.9
22.5
25.4
25.4
....

2,108.4
2,148.8
220.1
1,928.7
645.2
1,283.5
40.4
24.1
16.4
16.4
....

2,331.2
2,419.3
220.3
2,199.0
667.3
1,531.7
88.1
23.6
64.5
64.5
....

2,258.5
2,341.3
339.2
2,002.1
631.5
1,370.6
82.8
22.0
60.8
60.8
....

2,327.2
2,370.4
244.4
2,126.1
685.8
1,440.3
43.2
24.1
19.1
19.1
....

3,102.1
3,148.5
199.5
2,948.9
934.1
2,014.8
46.4
20.5
25.9
25.9
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

103.3
....
....
103.3
103.3
....
103.3
....
....
....
....
....
....

168.4
....
....
168.4
168.4
....
168.4
....
....
....
....
....
....

156.8
....
....
156.8
156.8
....
156.8
....
....
....
....
....
....

94.5
....
....
94.5
94.5
....
94.5
....
....
....
....
....
....

260.9
....
....
260.9
260.9
....
260.9
....
....
....
....
....
....

240.2
....
....
240.2
240.2
....
240.2
....
....
....
....
....
....

234.9
....
....
234.9
234.9
....
234.9
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

394.4

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

11.5
9.7
9.7
9.7
9.7
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

92.3 1,125.1 1,590.7 1,347.9 1,986.6 3,081.0


26.7
24.0
24.0
24.0
24.0
....
....
....
....
....
....
....

693.0
36.0
36.0
36.0
36.0
....
....
....
....
....
....
....

51.8
43.8
43.8
43.8
43.8
....
....
....
....
....
....
....

70.3
46.0
46.0
46.0
46.0
....
....
....
....
....
....
....

176.5
1.6
1.6
1.6
1.6
....
....
....
....
....
....
....

325.8
9.4
9.4
9.4
9.4
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
488
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kenya

664
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

21.2
5.6
5.6
5.6
....
....
....
15.6
15.6
....
....

50.7
3.0
3.0
3.0
....
....
....
47.7
47.7
....
....

729.0
665.3
665.3
665.3
....
....
....
63.7
63.7
....
....

95.6
22.8
22.8
22.8
....
....
....
72.8
72.8
....
....

116.3
31.6
31.6
31.6
....
....
....
84.7
84.7
....
....

178.1
89.4
89.4
89.4
....
....
....
88.7
88.7
....
....

335.2
39.6
39.6
39.6
....
....
....
295.7
295.7
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

30.5
45.9
27.9
....
....
....
27.9
....
18.0
....
....
....
18.0
....
15.4
3.1
....
3.1
....
....
....
12.3
12.3
....
....
....
....

20.6
23.6
20.5
....
....
....
20.5
....
3.1
....
....
....
3.1
....
3.0
1.8
....
1.8
....
....
....
1.2
1.2
....
....
....
....

24.7
25.5
24.8
....
....
....
24.8
....
.7
....
....
....
.7
....
.8
.5
....
.5
....
....
....
.3
.3
....
....
....
....

26.1
35.9
6.3
....
....
....
6.3
....
29.6
....
....
....
29.6
....
9.8
5.0
....
5.0
....
....
....
4.8
4.8
....
....
....
....

20.9
23.7
8.8
....
....
....
8.8
....
14.8
....
....
....
14.8
....
2.8
2.6
....
2.6
....
....
....
.2
.2
....
....
....
....

29.0
51.2
8.5
....
....
....
8.5
....
42.7
....
....
....
42.7
....
22.2
22.1
....
22.1
....
....
....
.1
.1
....
....
....
....

57.4
81.2
68.6
....
....
....
68.6
....
12.6
....
....
....
12.6
....
23.8
20.1
....
20.1
....
....
....
3.7
3.7
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

694.5
200.6
....
200.6
....
....
....
200.6
....
895.1
....
....
895.1
69.1
....
49.0
777.0
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

281.2
....
.5
.1
281.6

615.8
....
.3
.1
615.4

938.2
....
.4
....
938.6

475.9
....
2.9
....
478.9

1,317.7
....
346.1
.1
971.5

129.1
....
25.6
.1
154.5

63.2
....
309.2
.1
246.0

NET ERRORS AND OMISSIONS.........................

....

245.4

249.7

249.9

297.4

79.8

141.9

17.3

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

702.1 1,395.0 1,089.0 2,616.2 1,968.2 2,749.4


259.6
346.7
631.6
544.6
94.7
668.5
....
....
....
....
....
....
259.6
346.7
631.6
544.6
94.7
668.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
259.6
346.7
631.6
544.6
94.7
668.5
....
....
....
....
....
....
961.6 1,741.7 1,720.7 2,071.6 1,873.5 3,417.9
....
....
....
....
....
....
....
....
....
347.8
....
....
961.6 1,741.7 1,720.7 1,723.8 1,873.5 3,417.9
13.5
106.2
10.6
191.5
25.4
290.1
....
281.2
578.4
55.1
35.0
35.1
110.0
155.5
130.5
748.9
597.8
1,236.7
865.2
1,198.8
1,022.4
838.6
1,336.1
1,926.1
....
....
....
....
....
....

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
489
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Korea, Republic of

542
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
18,607
14,083
21,770
3,197
32,791
29,394

26,505

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

289,873
257,016

336,495
305,061

389,569
352,439

434,652
429,481

358,190
320,324

461,445
421,362

552,564
521,614

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

49,745
59,696

56,842
70,174

72,995
84,962

90,634
96,369

565

73,580
80,221

31,226

87,282
95,908

31,457

95,000
99,378

26,573

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

21,088

14,514
12,238

16,354
15,338

17,422
14,967

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

B. Capital Account........................................... 20999F B AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

32,857

2006

31,434

2007

37,129

2008

5,170

2009

37,866

40,083

30,950

22,905

18,102

25,162

10,177
11,994

14,088
14,014

18,176

18,915
18,780

25,297

21,653
17,218

3,871

33,502

32,472

29,029

10,004
12,486

9,588
13,680

11,158
14,685

14,070
14,744

12,700
13,412

13,424
16,503

15,345
17,869

....

2,340

3,126

2,388

109

290

218

150

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

147
2,487

16,266

290
3,416

10,957

526
2,914

1,863
1,754

1,856
1,566

1,890
2,108

2,448
2,298

C. Financial Account......................................... 30999F N AA

....

2,617

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

6,366
5,973
394

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

19,382

3,306

33,080

29,176

26,655

11,088

6,361

57,709

11,175
9,719
1,455

19,720
17,717
2,002

20,251
17,142
3,109

33,768

290

18,202

17,197
14,531
2,666

23,278
20,561
2,718

20,355
17,527
2,828

6,309
5,775
534

3,586
2,400
1,186

1,784
676
1,109

3,311
1,282
2,029

2,249
1,383
866

1,094
541
554

4,661
3,757
904

....
....
....

17,632
3,686
13,946

31,286
15,262
16,024

56,436
52,550
3,886

23,484
7,124
16,360

1,436
2,109
3,544

1,190
2,878
1,688

5,231
1,078
4,152

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

14,114
3,282
10,831

8,056
8,391
16,447

30,378
28,728
59,106

25,890
33,623
7,733

48,292
24,856
23,436

43,669
23,607
20,063

15,543
7,479
23,022

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

1,790
6,957
5,167

484
8,933
8,449

5,445
12,109
6,665

14,770
54,978
69,748

3,093
74,846
77,939

829
49,483
48,654

1,735
49,965
51,700

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

2,658
....
2,658

7,945
....
7,945

14,836
....
14,836

13,742
....
13,742

1,688
....
1,688

15,981
....
15,981

23,615
....
23,615

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

7,061
....
7,061

49,367
....
49,367

47,023
....
47,023

9,851
....
9,851

394
....
394

5,434
....
5,434

12,530
....
12,530

D. Net Errors and Omissions............................. 40999S N AA

....

981

45

2,088

2,044

1,804

1,838

5,530

E. Reserves and Related Items.......................... 4Z999S N AA

....

19,864

22,090

15,109

56,447

68,652

27,048

13,983

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

19,864
....
....

22,090
....
....

15,109
....
....

56,447
....
....

68,652
....
....

27,048
....
....

13,983
....
....

Conversion rates: won per U.S. dollar.............. RFZ F B

....

1,024.1

954.8

929.3

1,102.0

1,276.9

1,156.1

1,108.3

18,883

22,045

13,022

54,403

66,848

28,886

8,453

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
490
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Korea, Republic of

542
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
18,607
14,083
21,770
3,197
32,791
29,394
GOODS AND SERVICES..................................... 1Z9999 B XN
....
22,905
18,102
25,162
565
31,226
31,457
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

339,618
316,712
32,857
289,873
289,657
....
216
257,016
256,259
757
9,952
49,745
59,696
....
....
19
36
23,877

393,337
375,235
31,434
336,495
335,717
....
777
305,061
304,319
742
13,332
56,842
70,174
....
....
82
18
25,807

462,563
437,402
37,129
389,569
388,944
....
625
352,439
351,212
1,227
11,967
72,995
84,962
....
....
77
29
33,556

525,286
525,851
5,170
434,652
433,435
....
1,217
429,481
428,296
1,185
5,735
90,634
96,369
....
....
47
44
44,942

431,770
400,545
37,866
358,190
355,433
....
2,757
320,324
319,244
1,079
6,641
73,580
80,221
....
....
27
31
28,864

548,727
517,271
40,083
461,445
458,534
....
2,911
421,362
419,855
1,508
8,626
87,282
95,908
....
....
14
41
39,216

26,505
26,573
647,565
620,992
30,950
552,564
549,491
....
3,074
521,614
520,037
1,577
4,377
95,000
99,378
....
....
231
28
37,301

20,144

23,133

29,076

37,137

23,789

30,244

28,369

5,806
....
....
15,406
....
....
20,043
4,707
169
1,651
1,908
500
9,422
268
1,418
24,110
879
733
235
4,561
956
15,538
477
733

5,788
....
....
18,851
....
....
25,166
7,003
274
2,543
2,046
891
10,532
369
1,509
28,173
1,308
854
547
4,650
1,609
17,705
671
828

6,138
....
....
21,975
....
....
33,224
9,698
415
4,001
1,735
887
14,421
448
1,620
33,882
1,828
1,000
696
5,134
1,457
21,829
929
1,009

9,774
4,082
5,692
19,065
4,433
14,633
35,872
13,686
466
3,785
2,382
854
12,965
527
1,206
40,123
2,608
744
691
5,656
1,353
27,245
891
936

9,819
3,617
6,202
15,040
2,561
12,478
34,871
14,553
340
2,280
3,199
773
12,088
523
1,115
41,361
2,806
735
708
7,188
1,290
27,094
846
696

10,359
3,390
6,969
18,780
1,838
16,941
37,694
11,977
515
2,736
3,145
834
16,834
637
1,017
46,844
2,302
882
843
9,031
1,389
30,422
1,022
953

12,304
4,742
7,563
19,463
3,976
15,487
45,164
15,185
419
3,367
4,321
972
18,911
794
1,197
51,518
3,092
805
884
7,302
1,452
35,827
1,018
1,140

....
....
....
....
....
....
....
....
....
....
....

1,817
10,177
11,994
745
119
9,432
1,493
1,470
....
....
24

75
14,088
14,014
685
141
13,403
1,547
1,519
....
....
28

135
18,915
18,780
692
186
18,223
1,925
1,877
....
....
48

4,435
21,653
17,218
745
556
20,908
2,612
2,532
2,593
61
80

2,277
14,514
12,238
594
647
13,920
1,827
1,732
1,832
101
96

1,016
16,354
15,338
711
1,078
15,643
2,541
2,472
2,526
54
69

2,456
17,422
14,967
686
1,181
16,736
3,259
3,151
3,213
61
108

2,484
18,360
3,033
1,518
7,997
10,629

2,720
20,099
2,989
2,138
9,623
11,372

3,150
27,742
2,664
2,474
13,178
13,424

3,705
38,011
3,226
2,391
19,132
15,614

3,485
23,243
2,135
1,320
11,914
10,556

4,039
32,465
2,712

2,022
12,722
15,500

4,942
29,230
3,130

2,270
10,502
15,596

_______________________________________________________________________________________________________________________________
491
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Korea, Republic of

542
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

6,567
326
....
....
6,240
1,372
....
1,372
....
....
....
....
11,875
4,351
4,294
....
....
57
5,014
3,025
....
....
1,988
2,510
....
2,510
....
....
....

9,726
779
....
....
8,946
2,131
....
2,131
....
....
....
....
13,873
4,176
4,115
....
....
61
6,012
3,041
....
....
2,971
3,685
....
3,685
....
....
....

13,387
849
....
....
12,538
2,911
....
2,911
....
....
....
....
18,594
5,253
5,182
....
....
71
7,483
3,853
....
....
3,631
5,858
....
5,858
....
....
....

16,220
2,608
....
....
13,612
2,076
....
2,076
....
....
....
....
16,662
5,020
4,996
4,996
....
24
6,198
3,262
....
....
2,936
5,444
....
5,444
....
....
....

10,894
921
....
....
9,973
1,199
....
1,199
....
....
....
....
11,590
3,986
3,952
3,952
....
35
4,592
1,261
....
....
3,331
3,012
....
3,012
....
....
....

12,315
1,290
....
....
11,025
787
....
787
....
....
....
....
14,260
6,270
6,249
6,249
....
21
6,121
1,375
....
....
4,746
1,870
....
1,870
....
....
....

12,577
1,181
....
....
11,396
900
....
900
....
....
....
....
13,786
6,181
6,154
6,154
....
27
5,653
1,400
....
....
4,254
1,951
....
1,951
....
....
....

....
....
....
....
....
....
....
....
....
....
....

2,482
10,004
188
9,816
5,759
4,057
12,486
1,252
11,234
6,895
4,339

4,093
9,588
313
9,275
5,369
3,906
13,680
1,402
12,278
7,421
4,857

3,527
11,158
271
10,887
5,907
4,980
14,685
1,459
13,227
7,926
5,300

674
14,070
323
13,747
8,329
5,418
14,744
1,472
13,271
7,424
5,847

712
12,700
149
12,552
6,684
5,868
13,412
1,569
11,843
6,964
4,879

3,079
13,424
174
13,250
6,347
6,903
16,503
1,819
14,684
8,876
5,808

2,523
15,345
303
15,042
7,808
7,234
17,869
2,044
15,825
9,164
6,661

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

2,340
109
109
38
....
....
....
38
2,378
....
....
....
2,378

3,126
119
226
171
....
....
....
171
3,190
....
....
....
3,190

2,388
229
275
297
....
....
....
297
2,638
....
....
....
2,638

109
92
215
1,771
....
....
....
1,771
1,539
....
....
....
1,539

290
150
158
1,706
....
....
....
1,706
1,408
....
....
....
1,408

218
140
274
1,750
....
....
....
1,750
1,834
....
....
....
1,834

150
291
262
2,157
....
....
....
2,157
2,036
....
....
....
2,036

FINANCIAL ACCOUNT........................................ 30999S N AA

....

17,247

11,003

21,470

1,262

34,884

27,338

32,185

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

58
6,366
5,973
5,973
5,973
....
....
....
394
394
....
....

7,588
11,175
9,719
9,719
9,719
....
....
....
1,455
1,455
....
....

17,935
19,720
17,717
17,717
17,717
....
....
....
2,002
2,002
....
....

16,941
20,251
17,142
17,203
17,203
....
....
61
3,109
3,109
....
....

14,948
17,197
14,531
14,632
14,632
....
....
101
2,666
2,666
....
....

22,184
23,278
20,561
20,615
20,615
....
....
54
2,718
2,718
....
....

15,694
20,355
17,527
17,588
17,588
....
....
61
2,828
2,828
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
492
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Korea, Republic of

542
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

6,309
5,775
5,775
5,775
....
....
....
534
534
....
....

3,586
2,400
2,400
2,400
....
....
....
1,186
1,186
....
....

1,784
676
676
676
....
....
....
1,109
1,109
....
....

3,311
1,282
1,282
1,282
....
....
....
2,029
2,029
....
....

2,249
1,383
1,383
1,383
....
....
....
866
866
....
....

1,094
541
541
541
....
....
....
554
554
....
....

4,661
3,757
3,757
3,757
....
....
....
904
904
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,518
17,632
3,686
....
3,456
....
230
....
13,946
....
1,128
7,795
5,024
....
14,114
3,282
....
....
....
....
....
10,831
....
....
....
....
....

23,230
31,286
15,262
....
12,769
82
2,411
....
16,024
....
4,559
3,557
7,908
....
8,056
8,391
....
....
....
....
....
16,447
....
....
....
....
....

26,058
56,436
52,550
....
53,039
....
489
....
3,886
....
167
200
3,519
....
30,378
28,728
....
....
....
....
....
59,106
....
....
....
....
....

2,406
23,484
7,124
....
8,133
2,857
1,848
....
16,360
....
1,456
9,199
5,705
....
25,890
33,623
....
....
....
....
....
7,733
....
....
....
....
....

49,728
1,436
2,109
....
2,200
3,389
3,480
....
3,544
....
393
1
3,150
....
48,292
24,856
....
....
....
....
....
23,436
....
....
....
....
....

42,480
1,190
2,878
....
6,227
5,571
3,534
....
1,688
....
571
435
1,552
....
43,669
23,607
....
....
....
....
....
20,063
....
....
....
....
....

10,312
5,231
1,078
....
5,599
2,432
4,246
....
4,152
....
3,067
749
1,834
....
15,543
7,479
....
....
....
....
....
23,022
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

1,790
6,957
5,167

484
8,933
8,449

5,445
12,109
6,665

14,770
54,978
69,748

3,093
74,846
77,939

829
49,483
48,654

1,735
49,965
51,700

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,403
2,658
....
2,658
8
1,525
394
732
....
7,061
....
....
7,061
433
5,733
2,602
3,497
....

41,421
7,945
....
7,945
1,299
3,747
390
2,510
....
49,367
....
....
49,367
1,596
42,378
924
6,317
....

32,188
14,836
....
14,836
132
10,169
269
4,266
....
47,023
....
....
47,023
305
45,013
872
2,577
....

23,593
13,742
....
13,742
99
10,827
246
2,570
....
9,851
....
....
9,851
10,898
23,314
839
3,404
....

2,082
1,688
....
1,688
104
5,550
405
3,355
....
394
....
3,641
3,247
12,598
7,480
761
2,632
....

21,414
15,981
....
15,981
153
8,663
654
6,511
....
5,434
....
....
5,434
107
10,017
660
5,351
....

11,085
23,615
....
23,615
1,596
14,658
871
6,490
....
12,530
....
....
12,530
333
12,511
628
315
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

19,864
1
14
425
20,274

22,090
1
8
114
21,968

15,109
....
11
146
15,243

56,447
1
20
269
56,737

68,652
3
3,644
387
64,618

27,048
1
128
57
27,119

13,983
2,087
77
1,586
10,387

NET ERRORS AND OMISSIONS.........................

....

981

45

2,088

2,044

1,804

1,838

5,530

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
493
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Korea, Republic of

542

Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 368,434 465,561 596,793 489,468 625,878 694,046
Direct investment............................................. 8A9999 A AA
....
38,683
49,187
74,777
97,911 120,441 143,157
Equity and investment fund shares................. 8AA000 A AA
....
35,741
45,652
68,074
88,371 109,140 132,203
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

35,741
....
....
2,942
2,942
....
....
52,134
13,914
....
....
....
....
....
38,221
....
4,334
10,365
23,522
....
1,009
66,217
....
66,217
3,050
49,403
2,879
10,885
....
210,391
74
44
306
209,968

45,652
....
....
3,535
3,535
....
....
97,766
36,819
....
....
....
....
....
60,947
....
9,229
13,829
37,889
....
1,392
78,260
....
78,260
4,980
54,727
3,127
15,426
....
238,957
74
54
440
238,388

68,074
....
....
6,703
6,703
....
....
158,606
104,858
....
....
....
....
....
53,749
....
9,221
16,636
27,892
....
2,338
98,847
....
98,847
5,236
68,119
3,271
22,222
....
262,224
74
69
311
261,771

88,371
....
....
9,539
9,539
....
....
75,113
47,879
....
....
....
....
....
27,234
....
4,961
6,266
16,007
....
10,356
104,868
....
104,868
4,354
78,681
3,049
18,784
....
201,220
76
86
580
200,479

109,140
....
....
11,301
11,301
....
....
101,146
72,320
....
....
....
....
....
28,826
....
5,221
5,607
17,999
....
28,682
105,597
....
105,597
5,123
73,456
3,668
23,351
....
270,012
79
3,745
985
265,202

132,203
....
....
10,954
10,954
....
....
112,207
81,920
....
....
....
....
....
30,288
....
5,844
6,159
18,285
....
27,582
119,529
....
119,529
4,663
80,225
3,890
30,752
....
291,571
80
3,540
1,025
286,926

742,054
160,643
147,151
147,151
....
....
13,491
13,491
....
....
103,042
71,003
....
....
....
....
....
32,040
....
7,480
5,710
18,849
....
26,600
145,348
....
145,348
4,701
96,150
4,516
39,981
....
306,422
2,167
3,458
2,564
298,233

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

539,548
104,879
100,768
100,768
....
....
4,112
4,112
....
....
310,456
249,475
....
....
....
....
....
60,981
4,593
27,027
3,005
26,356
....

652,373
115,774
113,393
113,393
....
....
2,381
2,381
....
....
352,393
276,388
....
....
....
....
....
76,005
5,344
34,234
5,666
30,762
....

826,446
121,957
118,203
118,203
....
....
3,754
3,754
....
....
456,654
320,065
....
....
....
....
....
136,588
17,434
48,704
27,950
42,500
....

547,912
94,679
90,151
90,151
....
....
4,528
4,528
....
....
252,152
124,640
....
....
....
....
....
127,512
16,094
46,740
18,110
46,568
....

730,792
121,096
115,419
115,419
....
....
5,677
5,677
....
....
391,580
237,083
....
....
....
....
....
154,497
31,864
49,588
25,513
47,531
....

831,364
134,234
127,253
127,253
....
....
6,982
6,982
....
....
489,110
317,319
....
....
....
....
....
171,792
28,237
50,703
42,760
50,092
....

839,167
135,733
127,936
127,936
....
....
7,797
7,797
....
....
478,179
284,284
....
....
....
....
....
193,896
23,200
56,833
52,496
61,366
....

_______________________________________________________________________________________________________________________________
494
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Korea, Republic of

542

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: won per U.S. dollar (end of


period)........................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

1,319
122,893
....
104
122,789
2,475
56,402
5,459
58,453
....

2,423
181,784
....
110
181,674
4,266
102,301
4,613
70,495
....

4,911
242,925
....
115
242,810
4,434
144,176
3,799
90,400
....

15,753
185,329
....
112
185,217
15,124
122,680
3,031
44,382
....

32,599
185,518
....
3,769
181,749
4,382
130,673
2,286
44,407
....

27,361
180,659
....
3,703
176,956
3,626
122,376
1,648
49,307
....

28,549
196,706
....
3,691
193,015
3,590
137,245
1,027
51,153
....

. . . . 171,114 186,812 229,653

58,445 104,914 137,319

97,114

....

1,259.5

1,151.8

1,011.6

929.8

936.1

1,164.5

1,134.8

_______________________________________________________________________________________________________________________________
495
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kosovo

967
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
307.7
283.6
484.6
920.9
547.0
767.9 1,028.2
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,178.7

1,236.1

1,537.3

2,084.6

1,931.0

2,044.2

2,348.0

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,068.2
197.3

1,110.4
157.9

1,180.1
127.4

1,316.8
153.1

1,556.4
172.3

1,415.7
139.3

1,476.2
156.5

B. Capital Account........................................... 20999F B AA

....

23.6

26.1

22.6

15.3

15.9

28.3

29.4

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

23.6
....

284.2

26.5
.4

257.5

25.3
2.6

462.0

20.9
5.6

905.6

39.5
23.6

531.1

47.3
19.0

739.6

51.1
21.7

998.9

C. Financial Account......................................... 30999F N AA

....

26.6

52.9

499.6

696.5

30.3

442.0

566.5

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

7.0
7.0
....

13.3
13.3
....

36.6
36.6
....

14.6
14.6
....

32.4
3.1
29.3

6.9
6.9
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

133.8
102.5
31.3

369.8
271.0
98.8

603.2
448.6
154.6

536.8
407.9
128.9

408.1
375.9
32.1

486.6
439.2
47.4

546.2
477.6
68.7

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

21.8
....
21.8

82.0
....
82.0

50.1
....
50.1

24.6
....
24.6

85.6
....
85.6

37.9
58.5
20.6

83.2
133.5
50.4

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

175.8
....
175.8

274.3
....
274.3

148.3
....
148.3

29.0
....
29.0

344.9
....
344.9

365.9
....
365.9

132.8
....
132.8

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

90.3
....
90.3

257.6

46.4
....
46.4

204.6

108.0
....
108.0

200.7
....
200.7

67.3
....
67.3

391.6
....
391.6

243.2
....
243.2

D. Net Errors and Omissions............................. 40999S N AA

....

217.3

E. Reserves and Related Items.......................... 4Z999S N AA

....

40.2

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

79.6
1,422.7

123.6
1,583.5

181.6
2,075.4

175.7
2,714.8

243.0
2,549.2

394.9
2,695.6

441.2
3,289.1

1,343.1

1,459.9

1,893.8

2,539.1

2,306.2

2,300.7

2,847.9

333.2
341.7

391.2
366.6

486.5
384.9

620.3
406.0

673.0
412.4

703.9
527.9

893.1
535.6

1,351.6

1,435.2

1,792.2

2,324.9

2,045.6

2,124.7

2,490.4

212.0
39.0

235.6
36.4

322.5
67.6

341.8
101.5

253.8
139.2

234.3
153.9

336.1
193.7

37.6

209.1

500.8

297.6

432.4

302.3

359.7

97.7

397.3

243.0

223.2

343.4

350.2

33.8

277.7

45.7

40.2
....
....

97.7
....
....

82.2

397.3
....
....

33.8
....
....

146.0
....
131.7

59.0
28.5
15.2

84.2
....
2.1

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
496
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kosovo

967
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
307.7
283.6
484.6
920.9
547.0
767.9 1,028.2
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,351.6 1,435.2 1,792.2 2,324.9 2,045.6 2,124.7 2,490.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
412.8
514.8
668.0
795.9
916.0
1,098.9
1,334.3
....
1,764.4
1,950.1
2,460.2
3,120.8
2,961.6
3,223.5
3,824.7
. . . . 1,343.1 1,459.9 1,893.8 2,539.1 2,306.2 2,300.7 2,847.9
....
79.6
123.6
181.6
175.7
243.0
394.9
441.2
....
79.6
123.6
181.6
175.7
243.0
394.9
441.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,422.7 1,583.5 2,075.4 2,714.8 2,549.2 2,695.6 3,289.1
....
1,422.7
1,583.5
2,075.4
2,714.8
2,549.2
2,695.6
3,289.1
....
....
....
....
....
....
....
....
....
8.5
24.6
101.6
214.2
260.6
176.0
357.5
....
333.2
391.2
486.5
620.3
673.0
703.9
893.1
....
341.7
366.6
384.9
406.0
412.4
527.9
535.6
....
.1
12.9
24.2
96.6
5.1
3.9
7.2
....
....
....
1.1
1.2
....
....
....
....
3.5
4.0
3.7
8.7
....
....
....
....
1.8
2.9
5.4
8.6
12.7
17.8
23.7
....
66.9
90.0
43.3
42.4
42.0
41.3
39.7
....
....
....
....
....
....
....
....
1.3
3.0
1.5
2.0
1.7
....
....
....
....
66.9
90.0
42.0
39.4
40.5
39.2
37.9
....
94.3
87.4
92.9
132.8
96.8
99.7
114.1
15.6
10.1
15.2
26.9
25.8
25.9
22.1
....
....
.4
....
77.7
105.8
71.0
73.8
92.0
....
78.3
77.3
....
....
....
....
....
....
109.7
137.1
152.6
200.4
333.1
374.3
490.9
....
.6
4.0
....
.2
.5
1.2
1.2
....
109.0
133.1
152.6
200.2
332.6
373.0
489.7
....
63.8
65.9
68.1
77.1
115.2
136.9
142.5
....
3.0
3.1
7.2
2.6
4.3
3.0
3.7
....
60.8
62.8
60.9
74.5
110.9
133.9
138.8
....
153.0
173.0
262.7
272.2
292.8
284.6
355.3
....
18.2
17.6
4.0
13.1
21.8
8.4
19.0
....
9.4
12.9
15.7
17.7
20.8
20.4
19.3
....
2.2
2.6
2.0
3.9
7.0
4.9
.4
....
....
.4
.1
.8
1.6
.8
....
....
2.5
3.5
79.8
83.9
101.3
105.6
138.6
....
13.1
27.9
44.3
19.9
26.1
55.4
103.7
....
.8
1.1
.7
1.2
1.2
6.0
2.4
....
106.9
107.1
116.0
131.8
113.1
83.1
71.8
....
181.8
210.4
217.3
186.3
187.7
273.5
255.2
....
17.4
18.6
27.6
8.4
6.7
35.2
26.4
....
18.5
19.9
27.7
35.4
34.2
37.6
43.1
....
4.5
5.6
8.0
3.7
2.5
.6
1.5
....
1.7
.1
2.4
5.5
5.7
3.7
.5
....
7.6
3.2
26.1
29.8
21.7
45.6
47.7
....
126.4
157.9
119.8
99.1
114.4
136.2
134.5
....
2.1
1.4
.9
1.0
.1
6.3
1.4
....
3.6
3.7
4.8
3.5
2.4
8.5
....
....
....
....
....
....
....
....
....
....
....
....

173.0
212.0
39.0
181.5
.9
30.5
....
....
....
....
....

199.2
235.6
36.4
184.8
.9
50.9
....
....
....
....
....

254.9
322.5
67.6
213.0
1.0
109.6
....
....
....
....
....

240.2
341.8
101.5
258.1
1.1
83.7
....
....
....
....
....

114.6
253.8
139.2
236.3
1.3
17.5
....
....
....
....
....

80.5
234.3
153.9
233.9
6.0
.5
.1
.1
.1
....
....

142.5
336.1
193.7
308.1
18.1
28.0
2.3
2.3
2.3
....
....

_______________________________________________________________________________________________________________________________
497
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kosovo

967
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

16.6
....
....
....
16.6
14.0
....
14.0
....
....
....
....
38.1
28.1
28.1
7.2
20.9
....
7.2
....
....
....
7.2
2.9
....
2.9
....
....
....

23.2
....
....
....
23.2
27.6
....
27.6
....
....
....
....
35.5
31.2
31.2
.1
31.1
....
.1
....
....
....
.1
4.2
....
4.2
....
....
....

47.2
....
....
....
47.2
62.3
....
62.3
....
....
....
....
66.6
59.0
59.0
2.1
57.0
....
2.1
....
....
....
2.1
5.5
....
5.5
....
....
....

3.4
....
....
....
3.4
80.3
....
80.3
....
....
....
....
100.4
88.4
88.4
6.1
82.3
....
.2
....
....
....
.2
11.7
....
11.7
....
....
....

1.7
....
....
....
1.7
15.8
....
15.8
....
....
....
....
137.9
102.0
102.0
22.6
79.4
....
....
....
....
....
....
35.9
....
35.9
....
....
....

4.5
....
....
....
4.5
4.2
....
4.2
....
....
....
....
147.9
130.3
130.3
33.0
97.3
....
....
....
....
....
....
17.6
....
17.6
....
....
....

6.5
....
....
....
6.5
19.3
....
19.3
....
....
....
....
175.5
148.0
148.0
71.5
76.5
....
....
....
....
....
....
27.5
....
27.5
....
....
....

....
....
....
....
....
....
....
....
....
....
....

870.9
1,068.2
440.4
627.8
519.8
108.0
197.3
7.7
189.6
160.9
28.7

952.5
1,110.4
410.7
699.6
586.0
113.6
157.9
9.4
148.5
119.0
29.5

1,052.6
1,180.1
344.1
836.0
705.7
130.3
127.4
8.6
118.8
95.0
23.9

1,163.7
1,316.8
383.3
933.5
784.2
149.3
153.1
8.0
145.1
125.4
19.7

1,384.0
1,556.4
622.5
933.8
819.0
114.8
172.3
....
172.3
154.2
18.1

1,276.3
1,415.7
491.7
924.0
763.0
160.9
139.3
....
139.3
121.2
18.1

1,319.7
1,476.2
458.5
1,017.8
813.6
204.2
156.5
....
156.5
132.9
23.7

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

23.6
....
....
23.6
19.6
....
19.6
3.9
....
....
....
....
....

26.1
....
....
26.5
23.5
....
23.5
3.1
.4
....
....
....
.4

22.6
....
....
25.3
21.9
....
21.9
3.4
2.6
....
....
....
2.6

15.3
....
....
20.9
17.7
....
17.7
3.3
5.6
....
....
....
5.6

147.6
....
....
171.2
142.4
131.7
10.7
28.8
23.6
....
....
....
23.6

28.3
....
....
47.3
26.7
....
26.7
20.5
19.0
....
....
....
19.0

43.0
....
....
64.8
45.2
13.7
31.6
19.5
21.7
....
....
....
21.7

FINANCIAL ACCOUNT........................................ 30999S N AA

....

66.8

44.8

102.3

662.7

176.3

396.2

635.0

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

133.8
....
....
....
....
....
....
....
....
....
....
....

362.8
7.0
7.0
7.0
7.0
....
....
....
....
....
....
....

590.0
13.3
13.3
13.3
13.3
....
....
....
....
....
....
....

500.2
36.6
36.6
36.6
36.6
....
....
....
....
....
....
....

393.5
14.6
14.6
14.6
14.6
....
....
....
....
....
....
....

454.2
32.4
3.1
3.1
3.1
....
....
....
29.3
....
29.3
....

539.3
6.9
6.9
6.9
6.9
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
498
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kosovo

967
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

133.8
102.5
81.6
81.6
....
....
20.9
31.3
31.3
....
....

369.8
271.0
239.9
239.9
....
....
31.1
98.8
98.8
....
....

603.2
448.6
391.6
391.6
....
....
57.0
154.6
154.6
....
....

536.8
407.9
325.6
325.6
....
....
82.3
128.9
128.9
....
....

408.1
375.9
296.5
296.5
....
....
79.4
32.1
32.1
....
....

486.6
439.2
341.9
341.9
....
....
97.3
47.4
47.4
....
....

546.2
477.6
401.0
401.0
....
....
76.5
68.7
68.7
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

21.8
21.8
....
....
....
....
....
....
21.8
....
36.5
....
58.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....

82.0
82.0
....
....
....
....
....
....
82.0
....
20.7
....
61.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....

50.1
50.1
....
....
....
....
....
....
50.1
....
28.1
....
78.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....

24.6
24.6
....
....
....
....
....
....
24.6
....
56.3
....
31.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....

85.6
85.6
....
....
....
....
....
....
85.6
....
85.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

37.9
37.9
58.5
....
....
....
58.5
....
20.6
270.8
103.2
....
147.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....

83.2
83.2
133.5
....
....
....
133.5
....
50.4
117.4
41.6
....
25.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

85.5
175.8
....
175.8
99.5
47.6
4.3
33.0
....
90.3
....
....
90.3
2.6
15.2
....
77.7
....

227.9
274.3
....
274.3
207.9
38.9
1.3
28.7
....
46.4
....
....
46.4
3.8
17.4
....
32.8
....

40.3
148.3
....
148.3
172.7
7.4
....
17.0
....
108.0
....
....
108.0
.1
15.7
....
123.9
....

171.7
29.0
....
29.0
43.9
104.6
....
119.5
....
200.7
....
....
200.7
....
39.8
....
160.9
....

277.6
344.9
....
344.9
185.1
153.0
....
6.7
....
67.3
....
86.6
19.3
....
89.5
194.9
86.1
....

39.0
365.9
....
365.9
227.1
71.1
12.9
80.6
....
404.9
....
....
404.9
.1
35.2
13.4
356.4
....

94.6
132.8
....
132.8
182.9
88.4
....
38.4
....
227.5
....
....
227.5
....
132.9
15.7
110.3
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

40.2
....
....
....
40.2

97.7
....
....
....
97.7

397.3
....
....
....
397.3

33.8
....
....
....
33.8

146.0
....
86.6
22.4
255.0

59.0
....
.3
.1
59.5

84.2
....
.4
....
83.8

NET ERRORS AND OMISSIONS.........................

....

217.3

302.3

359.7

243.0

223.2

343.4

350.2

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
499
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kosovo

967
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
....
....
3,528.9 3,526.1 4,047.3 4,337.6
Direct investment............................................. 8A9999 A AA
....
....
....
22.4
56.2
74.4
115.4
Equity and investment fund shares................. 8AA000 A AA
....
....
....
22.4
56.2
74.4
115.4
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

22.4
....
....
....
....
....
....
654.1
233.9
....
....
....
233.9
....
420.2
129.4
116.2
....
174.6
....
....
1,892.5
....
1,892.5
467.6
426.3
....
998.5
....
959.9
....
....
....
959.9

56.2
....
....
....
....
....
....
645.6
156.6
....
....
....
156.6
....
489.1
298.7
56.4
....
134.0
....
....
1,891.5
....
1,891.5
314.2
502.2
....
1,075.1
....
932.8
....
....
....
932.8

74.4
....
....
....
....
....
....
896.0
201.8
....
....
....
201.8
....
694.2
407.2
139.8
....
147.2
....
....
2,246.5
....
2,246.5
418.4
701.5
....
1,126.6
....
830.4
....
86.8
22.2
721.4

115.4
....
....
....
....
....
....
927.0
259.5
....
....
....
259.5
....
667.5
133.9
231.8
....
301.9
....
....
2,447.9
....
2,447.9
614.9
716.7
....
1,116.4
....
847.2
....
85.0
21.8
740.4

4,302.6
132.0
132.0
132.0
....
....
....
....
....
....
957.8
383.0
....
....
....
383.0
....
574.8
17.8
261.3
....
295.7
....
....
2,469.0
....
2,469.0
767.0
612.6
....
1,089.3
....
743.8
....
84.3
21.7
637.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,682.7
1,360.9
914.5
914.5
....
....
446.4
446.4
....
....
1.7
1.7
....
.7
....
1.0
....
....
....
....
....
....
....

2,256.3
1,796.6
1,233.8
1,233.8
....
....
562.8
562.8
....
....
2.1
2.1
....
.7
....
1.4
....
....
....
....
....
....
....

3,350.9
2,279.6
1,641.4
1,641.4
....
....
638.1
638.1
....
....
2.8
2.8
....
.8
....
2.0
....
....
....
....
....
....
....

3,764.5
2,620.1
1,944.5
1,944.5
....
....
675.6
675.6
....
....
1.7
1.7
....
.8
....
.9
....
....
....
....
....
....
....

4,170.1
3,050.7
2,319.2
2,319.2
....
....
731.5
731.5
....
....
2.7
2.7
....
.9
....
1.8
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
500
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kosovo

967
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
320.0
....
....
320.0
....
71.6
....
248.5
....

....
457.6
....
....
457.6
....
115.8
....
341.9
....

....
1,068.6
....
86.8
981.8
1.1
225.7
358.7
396.2
....

....
1,142.7
....
85.3
1,057.4
31.1
296.4
318.3
411.6
....

....
1,116.7
....
85.0
1,031.7
29.7
254.1
299.3
448.5
....

....

....

....

1,846.3

1,269.8

696.4

573.1

132.5

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
501
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kuwait

443
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis for 2005 to 2008 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
A. Current Account.......................................... 10999F B XN
....
30,071
45,312
41,330
60,239

28,384

38,293

70,762

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

54,423
18,529

67,631
20,068

104,290
21,958

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

10,193
17,736

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

33,491

48,986

51,784

70,929

41,405

51,345

85,886

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

....
3,421

....
3,674

....
10,453

....
10,689

....
13,022

....
13,052

....
15,124

B. Capital Account........................................... 20999F B AA

....

710

744

1,488

1,729

1,007

2,121

3,513

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

781
71

30,780

851
107

46,055

1,554
66

42,818

1,855
127

61,968

1,192
185

29,391

2,263
143

40,414

3,643
130

74,275

C. Financial Account......................................... 30999F N AA

....

32,762

49,559

34,862

51,281

26,527

46,439

62,521

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

5,142
5,157
15

8,211
8,211
....

9,784
9,784
....

9,091
9,099
9

8,582
8,363
219

5,065
5,005
60

8,728
8,810
82

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

234
234
....

121
121
....

112
112
....

6
6
....

1,114
1,042
72

319
402
83

400
414
14

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

12,675
2,088
10,587

29,171
3,249
25,921

35,581
3,849
31,732

32,085
2,182
29,902

8,674
3,920
4,754

17,022
12,590
4,431

9,619
10,415
796

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

459
....
459

44
44
....

677
677
....

3,955
3,955
....

480
501
21

153
9
162

1,054
1,099
45

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

48
252
204

25
11
36

67
16
51

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

19,323
....
19,323

22,735
....
22,735

14,483
....
14,483

18,281
....
18,281

2,911
....
2,911

17,573
....
17,573

43,515
....
43,515

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

4,603
....
4,603

1,982

10,392
....
10,392

3,503

24,197
....
24,197

7,955

4,227
....
4,227

10,687

13,728
....
13,728

2,864

7,226
....
7,226

6,025

2,179
....
2,179

11,753

D. Net Errors and Omissions............................. 40999S N AA

....

2,601

7,087

4,737

10,040

895

6,636

7,282

E. Reserves and Related Items.......................... 4Z999S N AA

....

619

3,584

3,219

647

3,759

611

4,471

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

619
....
....

3,584
....
....

3,219
....
....

647
....
....

3,759
....
....

611
....
....

4,471
....
....

Conversion rates: Kuwaiti dinar per U.S.


dollar............................................................. RFZ F B

....

.2920

.2902

.2842

.2688

.2878

.2866

.2760

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

45,303
15,053

56,453
16,240

62,526
19,962

86,944
22,939

30,249

40,213

42,564

64,004

35,894

47,563

4,775
8,715

8,444
10,638

10,169
13,344

11,959
15,777

11,571
13,743

9,324
14,962

82,333

26,309

38,019

39,389

60,186

33,722

41,925

74,790

8,023
841

12,499
1,533

16,327
3,932

13,962
3,219

8,861
1,178

10,620
1,200

11,418
321

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
502
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kuwait

443
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

38,293
41,925
76,955
35,030
47,563
67,631
67,631
....
....
20,068
20,068
....
5,638
9,324
14,962
....
....
....
85
4,413

70,762
74,790
114,484
39,694
82,333
104,290
104,290
....
....
21,958
21,958
....
7,543
10,193
17,736
....
....
....
67
5,498

Data reported to the IMF on a BPM5 basis for 2005 to 2008 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
CURRENT ACCOUNT.......................................... 109999 B XN
....
30,071
45,312
41,330
60,239
GOODS AND SERVICES..................................... 1Z9999 B XN
....
26,309
38,019
39,389
60,186
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

50,077
23,768
30,249
45,303
45,303
....
....
15,053
15,053
....
3,940
4,775
8,715
....
....
....
....
2,260

64,897
26,878
40,213
56,453
56,453
....
....
16,240
16,240
....
2,194
8,444
10,638
....
....
....
....
3,179

72,695
33,306
42,564
62,526
62,526
....
....
19,962
19,962
....
3,175
10,169
13,344
....
....
....
....
3,458

98,903
38,717
64,004
86,944
86,944
....
....
22,939
22,939
....
3,818
11,959
15,777
....
....
....
....
4,585

28,384
33,722
65,994
32,271
35,894
54,423
54,423
....
....
18,529
18,529
....
2,172
11,571
13,743
....
....
....
107
3,267

2,646

2,957

3,556

5,562

4,534

5,400

6,166

165
165
....
4,532
4,532
....
2,349
....
85
35
....
1,295
....
....
934
1,537
42
126
2
....
95
....
....
1,271

205
205
....
5,573
5,573
....
5,060
....
64
35
....
3,397
615
....
949
2,108
43
138
2
....
92
....
....
1,833

223
223
....
6,636
6,636
....
6,488
....
66
53
....
4,667
637
....
1,064
3,152
45
163
6
....
89
....
....
2,850

257
257
....
7,570
7,570
....
7,117
....
63
385
....
6,073
....
....
597
2,645
1,116
201
171
....
52
126
....
978

355
....
355
6,189
....
6,189
7,949
....
263
223
....
6,886
....
....
575
2,913
1,176
470
111
....
140
160
....
857

242
....
242
6,429
....
6,429
4,670
....
331
191
....
3,558
....
....
591
3,049
1,546
594
98
....
102
103
....
606

201
....
201
8,129
....
8,129
4,495
....
142
147
....
3,601
....
....
604
3,374
1,252
458
96
....
230
130
....
1,208

....
....
....
....
....
....
....
....
....
....
....

7,182
8,023
841
....
....
8,023
....
....
....
....
....

10,967
12,499
1,533
....
....
12,499
....
....
....
....
....

12,395
16,327
3,932
....
....
16,327
....
....
....
....
....

10,743
13,962
3,219
....
....
13,962
....
....
....
....
....

7,683
8,861
1,178
....
100
8,861
1,215
1,215
1,198
17
....

9,420
10,620
1,200
....
83
10,620
1,334
1,334
1,161
172
....

11,097
11,418
321
....
71
11,418
2,362
2,362
1,595
768
....

248
1,903
108

465
2,125
55

303
2,768
109

501
2,402
54

307
3,071
80

631
2,855
70

353
3,756
476

771
4,492
299

305
2,515
446

610
3,628
295

285
3,588
539
672
4,433
295

324
4,861
313
815
5,024
327

_______________________________________________________________________________________________________________________________
503
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kuwait

443
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
8,023
....
8,023
....
....
....
....
841
....
....
....
....
....
....
....
....
....
....
841
....
841
....
....
....

....
....
....
....
....
12,499
....
12,499
....
....
....
....
1,533
....
....
....
....
....
....
....
....
....
....
1,533
....
1,533
....
....
....

....
....
....
....
....
16,327
....
16,327
....
....
....
....
3,932
....
....
....
....
....
....
....
....
....
....
3,932
....
3,932
....
....
....

....
....
....
....
....
13,962
....
13,962
....
....
....
....
3,219
....
....
....
....
....
....
....
....
....
....
3,219
....
3,219
....
....
....

5,354
5,354
....
....
....
2,129
....
2,129
....
164
....
164
1,078
247
247
247
....
....
....
....
....
....
....
831
....
831
....
....
....

6,547
6,547
....
....
....
2,537
....
2,537
....
202
....
202
1,117
596
596
458
138
....
....
....
....
....
....
520
....
520
....
....
....

6,109
6,109
....
....
....
2,601
....
2,601
....
345
....
345
250
17
17
17
....
....
....
....
....
....
....
233
....
233
....
....
....

....
....
....
....
....
....
....
....
....
....
....

3,421
....
....
....
....
....
3,421
715
2,705
2,648
58

3,674
....
....
....
....
....
3,674
405
3,269
3,183
86

10,453
....
....
....
....
....
10,453
574
9,880
9,764
116

10,689
....
....
....
....
....
10,689
267
10,422
10,323
100

13,022
....
....
....
....
....
13,022
549
12,472
11,649
823

13,052
....
....
....
....
....
13,052
426
12,626
11,722
904

15,124
....
....
....
....
....
15,124
1,305
13,819
12,853
966

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

710
....
....
781
55
....
55
726
71
27
....
27
43

744
....
....
851
498
....
498
353
107
34
....
34
72

1,488
....
....
1,554
1,361
....
1,361
194
66
23
....
23
44

1,729
....
....
1,855
1,785
....
1,785
71
127
19
....
19
108

1,007
....
....
1,192
1,152
....
....
40
185
44
....
....
141

2,121
....
....
2,263
997
....
....
1,267
143
43
....
....
99

3,513
....
....
3,643
1,612
....
....
2,031
130
44
....
....
86

FINANCIAL ACCOUNT........................................ 30999S N AA

....

33,381

53,142

38,081

51,928

30,286

47,050

66,992

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

4,908
5,142
5,157
5,157
5,157
....
....
....
15
15
....
....

8,089
8,211
8,211
8,211
8,211
....
....
....
....
....
....
....

9,673
9,784
9,784
9,784
9,784
....
....
....
....
....
....
....

9,097
9,091
9,099
9,099
9,099
....
....
....
9
9
....
....

7,468
8,582
8,363
....
....
....
....
....
219
....
....
....

4,747
5,065
5,005
....
....
....
....
....
60
....
....
....

8,328
8,728
8,810
....
....
....
....
....
82
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
504
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kuwait

443
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

234
234
234
234
....
....
....
....
....
....
....

121
121
121
121
....
....
....
....
....
....
....

112
112
112
112
....
....
....
....
....
....
....

6
6
6
6
....
....
....
....
....
....
....

1,114
1,042
....
....
....
....
....
72
....
....
....

319
402
....
....
....
....
....
83
....
....
....

400
414
....
....
....
....
....
14
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

13,134
12,675
2,088
....
370
....
1,718
....
10,587
....
70
5,546
4,972
....
459
....
....
....
....
....
....
459
....
487
....
28
....

29,126
29,171
3,249
....
430
....
2,819
....
25,921
....
82
20,604
5,235
....
44
44
....
35
....
80
....
....
....
....
....
....
....

34,904
35,581
3,849
....
1,487
....
2,362
....
31,732
....
284
27,061
4,388
....
677
677
....
11
....
688
....
....
....
....
....
....
....

28,130
32,085
2,182
....
1,297
....
886
....
29,902
....
246
28,012
1,645
....
3,955
3,955
....
212
....
4,167
....
....
....
....
....
....
....

8,194
8,674
3,920
....
67
3,725
128
....
4,754
....
145
5,925
1,025
....
480
501
....
8
....
493
....
21
....
....
....
21
....

16,869
17,022
12,590
....
8
13,642
1,043
....
4,431
....
119
4,787
475
....
153
9
....
24
....
34
....
162
....
....
....
162
....

8,565
9,619
10,415
....
882
10,167
634
....
796
....
517
886
428
....
1,054
1,099
....
12
....
1,087
....
45
....
....
....
45
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

48
252
204

25
11
36

67
16
51

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

14,720
19,323
....
19,323
....
1,622
16,496
1,205
....
4,603
....
....
4,603
259
1,988
836
1,520
....

12,344
22,735
....
22,735
....
4,382
15,382
2,972
....
10,392
....
....
10,392
100
2,985
352
6,955
....

9,714
14,483
....
14,483
....
6,336
2,956
5,191
....
24,197
....
....
24,197
67
10,941
2,606
10,582
....

14,054
18,281
....
18,281
....
4,169
11,215
2,897
....
4,227
....
....
4,227
156
1,738
1,263
4,858
....

10,817
2,911
....
2,911
....
5,228
7,433
5,115
....
13,728
....
2,016
15,743
....
6,255
3,227
6,261
....

24,798
17,573
....
17,573
....
799
18,750
378
....
7,226
....
....
7,226
....
276
932
6,569
....

45,695
43,515
....
43,515
....
384
38,723
5,177
....
2,179
....
....
2,179
....
633
222
3,034
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

619
....
17
363
965

3,584
....
13
129
3,699

3,219
....
13
45
3,251

647
....
9
124
514

3,759
....
2,018
122
1,619

611
....
1
....
609

4,471
....
3
270
4,199

NET ERRORS AND OMISSIONS.........................

....

2,601

7,087

4,737

10,040

895

6,636

7,282

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
505
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kuwait

443
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

158,710
29,461
22,684
22,684
....
....
6,778
6,778
....
....
36,916
30,159
....
7,361
....
22,797
....
6,757
....
1,425
....
5,332
....
960
70,036
....
70,036
....
17,589
11,586
40,862
....
21,337
113
2,223
391
18,610

161,129
22,033
20,862
20,862
....
....
1,170
1,170
....
....
34,491
28,016
....
8,289
....
19,727
....
6,475
....
1,948
....
4,527
....
901
77,810
....
77,810
....
18,310
14,041
45,458
....
25,894
114
2,219
655
22,906

63,553
11,235
11,100
11,100
....
....
135
135
....
....
11,156
10,059
....
80
....
9,980
....
1,096
....
....
....
1,096
....

57,824
10,765
10,678
10,678
....
....
86
86
....
....
11,897
10,887
....
20
....
10,866
....
1,010
....
....
....
1,010
....

Data reported to the IMF on a BPM5 basis for 2005 to 2008 are re- arranged to a BPM6 presentation for
publication purposes. Data reported on a BPM6 basis for later periods
ASSETS.............................................................. 80999S A AA
....
70,771
96,641 131,612 172,999
Direct investment............................................. 8A9999 A AA
....
5,893
10,845
14,665
22,436
Equity and investment fund shares................. 8AA000 A AA
....
5,893
10,845
14,665
20,710
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,893
....
....
....
....
....
....
18,642
8,017
....
2,559
....
5,459
....
10,625
....
487
....
10,138
....
....
37,267
....
37,267
....
9,907
8,430
18,930
....
8,967
109
184
298
8,376

10,845
....
....
....
....
....
....
27,424
11,357
....
3,015
....
8,342
....
16,067
....
575
....
15,492
....
....
45,702
....
45,702
....
14,499
9,100
22,103
....
12,670
110
207
181
12,172

14,665
....
....
....
....
....
....
37,915
16,036
....
4,741
....
11,294
....
21,880
....
904
....
20,976
....
....
62,265
....
62,265
....
22,187
11,443
28,635
....
16,766
116
231
144
16,276

20,710
....
....
1,727
1,727
....
....
59,169
50,887
....
7,575
....
43,312
....
8,282
....
1,295
....
6,986
....
14
74,161
....
74,161
....
24,626
8,212
41,324
....
17,219
115
234
268
16,602

168,314
29,414
22,568
22,568
....
....
6,846
6,846
....
....
48,442
41,556
....
6,903
....
34,653
....
6,885
....
1,156
....
5,729
....
959
69,131
....
69,131
....
18,283
10,332
40,516
....
20,369
111
2,261
398
17,599

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

21,609
645
645
645
....
....
....
....
....
....
722
....
....
....
....
....
....
722
....
241
....
480
....

32,421
773
773
773
....
....
....
....
....
....
780
....
....
....
....
....
....
780
....
209
....
572
....

60,035
945
945
945
....
....
....
....
....
....
1,360
....
....
....
....
....
....
1,360
....
209
....
1,152
....

68,715
8,722
8,526
8,526
....
....
196
196
....
....
7,042
6,925
....
48
....
6,877
....
118
....
....
....
118
....

66,417
10,332
10,115
10,115
....
....
217
217
....
....
10,189
9,273
....
54
....
9,220
....
915
....
....
....
915
....

_______________________________________________________________________________________________________________________________
506
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kuwait

443
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Kuwaiti dinar per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
20,242
....
38
20,204
367
7,500
1,476
10,861
....

....
30,868
....
40
30,827
466
10,569
1,844
17,948
....

....
57,729
....
42
57,687
543
22,588
4,918
29,638
....

24
52,927
....
41
52,886
374
16,721
5,765
30,026
....

415
45,481
....
2,062
43,419
....
10,095
2,315
31,009
....

382
40,780
....
2,026
38,754
....
10,365
3,673
24,716
....

337
34,826
....
2,020
32,806
....
11,040
3,878
17,888
....

....

49,161

64,220

71,577

104,284

101,897

95,158

103,304

....

.2920

.2891

.2730

.2760

.2868

.2806

.2786

_______________________________________________________________________________________________________________________________
507
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kyrgyz Republic

917
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
62.1
303.2
262.0
756.2
301.3
429.1

377.3

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

686.8
1,105.5

906.0
1,792.4

886.5

1,275.8

1,879.2

1,119.8

1,202.2

2,271.2
3,935.9

1,664.7

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

259.4
290.3

378.7
459.7

684.8
604.5

896.1
992.9

859.8
868.9

693.1
924.2

1,117.1
1,138.0

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

537.7

1,015.6

1,246.1

2,182.7

1,310.4

1,738.6

2,215.9

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

513.6
37.9

762.4
50.0

1,063.1
79.0

1,506.8
80.2

1,094.1
85.1

1,450.9
141.4

2,044.1
205.4

B. Capital Account........................................... 20999F B AA

....

20.5

43.9

74.9

44.9

14.0

62.1

37.5

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

51.6
72.2

82.6

37.8
81.7

347.1

54.3
129.1

336.8

52.7
97.6

801.1

65.0
78.9

315.2

66.9
129.0

491.1

70.7
108.2

414.7

C. Financial Account......................................... 30999F N AA

....

85.4

339.4

986.4

181.2

623.3

584.0

651.4

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

1.0
1.0
....

.1
.1
....

.3
.3
....

....
....
....

.1
.1
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

42.6
46.9
4.3

182.0
52.6
129.5

207.9
50.0
157.9

377.0
178.2
198.8

189.4
177.7
11.7

437.6
230.8
206.8

693.5
547.1
146.4

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

2.3
....
2.3

3.0
....
3.0

15.8
10.8
5.1

236.2
21.1
257.2

161.2
7.0
154.1

182.5
22.9
159.5

166.8
....
166.8

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

1.5
1.5
....

6.2
6.2
....

.7
.7
....

18.2
18.2
....

5.5
5.5
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

47.5
....
47.5

24.0
....
24.0

19.4
....
19.4

362.7
....
362.7

217.2
....
217.2

127.3
....
127.3

227.4
....
227.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

88.1
....
88.1

184.4
....
184.4

7.7

772.3
....
772.3

649.5

396.8
....
396.8

619.9

489.0
....
489.0

308.1

145.2
....
145.2

92.9

346.5
....
346.5

236.6

D. Net Errors and Omissions............................. 40999S N AA

....

65.6

184.4

356.5

673.1

241.2

71.4

129.4

E. Reserves and Related Items.......................... 4Z999S N AA

....

68.4

176.7

293.1

53.2

66.8

21.4

107.3

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

80.5
12.5
24.6

170.3
23.5
17.1

306.7
20.7
34.3

121.0
18.3
49.5

264.6
.2
198.0

115.7
12.4
81.8

113.1
5.8
....

Conversion rates: soms per U.S. dollar............. RFZ F B

....

41.012

40.153

37.316

36.575

42.904

45.964

46.144

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

418.7

2006

2007

1,337.8
2,613.6

2008

1,874.4
3,753.5

2009

1,693.8
2,813.6

1,778.7
2,980.9

449.5

967.4

1,195.5

1,975.9

1,128.8

1,433.3

1,685.6

16.5
104.7

41.6
89.8

42.6
93.2

41.7
248.5

21.7
203.2

29.7
334.9

31.6
562.0

2.8

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
508
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kyrgyz Republic

917
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
37.4
286.1
227.6
706.7
103.3
347.3
377.3
GOODS AND SERVICES..................................... 1Z9999 B XN
....
449.5
967.4 1,195.5 1,975.9 1,128.8 1,433.3 1,685.6
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

946.3
1,395.8
418.7
686.8
456.1
....
230.7
1,105.5
1,105.5
....
30.8
259.4
290.3
....
....
....
....
60.6

....
....
....
....
....
....
....
....
....
....
....

20.9
20.8
18.9

1,284.7
2,022.6
2,770.4
2,553.7
2,471.8
3,388.3
2,252.1
3,218.1
4,746.4
3,682.5
3,905.2
5,073.9
886.5 1,275.8 1,879.2 1,119.8 1,202.2 1,664.7
906.0 1,337.8 1,874.4 1,693.8 1,778.7 2,271.2
700.0
1,113.1
1,410.9
1,164.4
1,110.4
1,265.0
....
....
....
....
....
....
206.0
224.7
463.5
529.5
668.3
1,006.2
1,792.4 2,613.6 3,753.5 2,813.6 2,980.9 3,935.9
1,792.4
2,613.6
3,753.5
2,813.6
2,980.9
3,935.9
....
....
....
....
....
....
81.0
80.3
96.8
9.1
231.1
20.9
378.7
684.8
896.1
859.8
693.1
1,117.1
459.7
604.5
992.9
868.9
924.2
1,138.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
56.6
139.3
146.4
135.1
150.5
169.1

22.1
17.6
16.8

45.9
43.7
49.8

54.7
44.7
47.0

46.9
43.9
44.2

51.7
49.2
49.6

49.2
64.9
54.9

126.0

178.5

337.6

489.3

412.9

418.0

501.6

73.0
39.1
33.9
58.4
40.9
17.5
125.8
19.0
.2
3.8
1.7
7.6
61.0
6.7
25.9
105.9
2.1
14.9
4.4
6.0
7.7
45.5
21.0
4.2

167.0
86.4
80.6
91.6
64.2
27.5
155.2
19.7
1.4
2.0
2.4
11.5
80.8
10.2
27.3
189.5
3.3
18.3
3.6
19.5
7.1
103.1
29.9
4.8

346.0
176.5
169.5
112.4
78.7
33.7
199.4
16.8
5.0
3.7
2.4
13.1
82.5
45.3
30.7
154.5
11.8
9.4
9.0
11.7
11.3
69.9
26.2
5.2

514.5
261.6
252.9
304.4
213.1
91.3
235.2
20.8
8.3
13.5
2.8
17.9
90.9
69.4
11.6
199.1
10.5
10.8
9.1
14.9
26.7
83.6
38.1
5.5

458.8
204.2
254.6
266.9
151.1
115.7
266.0
18.8
3.6
10.9
1.8
10.5
123.9
86.2
10.3
189.2
18.3
12.0
4.0
6.8
25.0
77.7
36.2
9.2

283.6
122.0
161.7
271.1
143.7
127.4
259.0
32.8
6.7
.6
1.1
22.8
112.2
68.1
14.6
235.1
11.9
14.1
17.1
2.6
25.4
136.7
18.3
9.1

640.5
275.4
365.1
420.8
223.0
197.8
307.5
34.9
2.1
1.8
1.4
16.6
142.9
94.3
13.5
215.6
13.5
16.0
6.9
6.2
22.3
99.1
43.0
8.6

88.2
16.5
104.7
....
20.4
16.5
....
....
....
....
....

48.2
41.6
89.8
....
24.2
41.6
....
....
....
....
....

50.6
42.6
93.2
....
20.8
42.6
....
....
....
....
....

206.8
41.7
248.5
....
24.3
41.7
....
....
....
....
....

181.5
21.7
203.2
....
25.8
21.7
....
....
....
....
....

305.3
29.7
334.9
....
32.3
29.7
....
....
....
....
....

530.3
31.6
562.0
....
30.8
31.6
....
....
....
....
....

36.1
43.8
46.1

50.2
62.9
65.4

103.3
92.5
141.9

147.0
140.1
202.1

126.0
118.5
168.3

127.3
129.6
161.1

144.9
173.7
183.0

_______________________________________________________________________________________________________________________________
509
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kyrgyz Republic

917
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
16.5
....
16.5
....
....
....
....
84.3
36.0
32.9
2.3
30.7
3.0
....
....
....
....
....
48.3
....
48.3
....
....
....

.1
....
....
....
.1
41.5
....
41.5
....
....
....
....
65.6
39.8
35.0
14.0
21.0
4.8
....
....
....
....
....
25.8
....
25.8
....
....
....

.2
....
....
....
.2
42.4
....
42.4
....
....
....
....
72.5
39.0
33.7
.2
33.6
5.2
....
....
....
....
....
33.5
....
33.5
....
....
....

.5
....
....
....
.5
41.2
....
41.2
....
....
....
....
224.2
177.9
154.6
1.6
152.9
23.4
....
....
....
....
....
46.3
....
46.3
....
....
....

4.2
....
....
....
4.2
17.5
....
17.5
....
....
....
....
177.4
118.5
108.0
....
108.0
10.5
....
....
....
....
....
59.0
....
59.0
....
....
....

.2
....
....
....
.2
29.5
....
29.5
....
....
....
....
302.7
247.9
247.8
9.1
238.7
.1
....
....
....
....
....
54.7
....
54.7
....
....
....

.1
....
....
....
.1
31.5
....
31.5
....
....
....
....
531.2
485.5
484.0
8.7
475.3
1.5
....
....
....
....
....
45.7
....
45.7
....
....
....

....
....
....
....
....
....
....
....
....
....
....

500.3
538.2
24.6
513.6
313.3
200.3
37.9
1.6
36.3
32.8
3.4

729.5
779.5
17.1
762.4
473.1
289.3
50.0
4.7
45.3
43.9
1.4

1,018.5
1,097.5
34.3
1,063.1
704.0
359.1
79.0
3.4
75.6
69.7
5.8

1,476.0
1,556.3
49.5
1,506.8
1,223.3
283.5
80.2
3.6
76.7
76.3
.4

1,207.1
1,292.1
198.0
1,094.1
982.0
112.2
85.1
3.0
82.0
81.7
.3

1,391.3
1,532.7
81.8
1,450.9
1,266.2
184.7
141.4
3.6
137.8
135.5
2.3

1,838.7
2,044.1
87.6
1,956.5
1,708.7
247.9
205.4
4.3
201.1
198.3
2.9

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

20.5
....
....
51.6
23.1
....
23.1
28.5
72.2
....
....
....
72.2

43.9
....
....
37.8
29.4
....
29.4
8.4
81.7
....
....
....
81.7

74.9
....
....
54.3
36.3
....
36.3
18.0
129.1
....
....
....
129.1

44.9
....
....
52.7
36.6
....
36.6
16.1
97.6
....
....
....
97.6

14.0
....
....
65.0
50.7
....
50.7
14.3
78.9
....
....
....
78.9

62.1
....
....
66.9
20.0
....
20.0
46.9
129.0
....
....
....
129.0

37.5
....
....
70.7
20.0
....
20.0
50.7
108.2
....
....
....
108.2

FINANCIAL ACCOUNT........................................ 30999S N AA

....

7.6

145.6

658.9

78.6

358.5

480.8

544.1

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

42.6
....
....
....
....
....
....
....
....
....
....
....

182.0
....
....
....
....
....
....
....
....
....
....
....

208.9
1.0
1.0
1.0
1.0
....
....
....
....
....
....
....

377.1
.1
.1
.1
.1
....
....
....
....
....
....
....

189.6
.3
.3
.3
.3
....
....
....
....
....
....
....

437.6
....
....
....
....
....
....
....
....
....
....
....

693.6
.1
.1
.1
.1
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
510
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kyrgyz Republic

917
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

42.6
46.9
16.2
16.2
....
....
30.7
4.3
4.3
....
....

182.0
52.6
31.5
31.5
....
....
21.0
129.5
129.5
....
....

207.9
50.0
16.4
16.4
....
....
33.6
157.9
157.9
....
....

377.0
178.2
25.3
25.3
....
....
152.9
198.8
198.8
....
....

189.4
177.7
69.7
69.7
....
....
108.0
11.7
11.7
....
....

437.6
230.8
7.9
7.9
....
....
238.7
206.8
206.8
....
....

693.5
547.1
71.8
71.8
....
....
475.3
146.4
146.4
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2.3
2.3
....
....
....
....
....
....
2.3
....
2.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3.0
3.0
....
....
....
....
....
....
3.0
....
3.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

14.3
15.8
10.8
....
10.9
....
.2
....
5.1
....
19.0
....
14.0
....
1.5
1.5
....
1.0
....
.4
....
....
....
....
....
....
....

230.0
236.2
21.1
....
21.1
....
....
....
257.2
....
31.8
....
225.4
....
6.2
6.2
....
4.4
....
1.9
....
....
....
....
....
....
....

161.9
161.2
7.0
....
6.4
....
.6
....
154.1
....
21.7
....
175.8
....
.7
.7
....
.5
....
.2
....
....
....
....
....
....
....

164.3
182.5
22.9
....
4.2
....
27.1
....
159.5
....
22.3
....
137.2
....
18.2
18.2
....
12.7
....
5.4
....
....
....
....
....
....
....

161.3
166.8
....
....
....
....
....
....
166.8
....
2.9
....
163.9
....
5.5
5.5
....
3.8
....
1.6
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

28.1
47.5
....
47.5
18.7
15.1
....
51.1
....
75.6
....
....
75.6
12.5
11.9
81.1
19.0
....

136.9
24.0
....
24.0
1.0
17.0
....
8.0
....
160.9
....
....
160.9
23.5
26.6
63.1
147.9
....

771.1
19.4
....
19.4
20.0
37.7
....
38.3
....
751.6
....
....
751.6
20.7
66.6
41.0
664.8
....

52.4
362.7
....
362.7
19.3
115.9
....
227.4
....
415.0
....
....
415.0
18.3
48.4
16.1
332.3
....

271.6
217.2
....
217.2
2.3
157.9
....
57.0
....
488.8
....
132.5
356.2
.2
50.4
335.0
29.0
....

5.5
127.3
....
127.3
....
203.2
....
75.9
....
132.8
....
....
132.8
12.4
225.6
106.3
25.8
....

124.9
227.4
....
227.4
....
19.0
....
208.4
....
352.3
....
....
352.3
5.8
7.3
143.6
195.6
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

80.5
18.7
13.0
....
74.8

170.3
....
27.2
....
143.1

306.7
....
20.4
....
327.1

121.0
....
43.0
....
77.9

264.6
....
106.0
....
158.6

115.7
....
12.5
....
103.2

113.1
1.4
6.0
....
105.7

NET ERRORS AND OMISSIONS.........................

....

65.6

184.4

356.5

673.1

241.2

71.4

129.4

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
511
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kyrgyz Republic

917
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
1,154.7 1,257.9 1,680.8 2,077.2 2,936.4 2,764.4
Direct investment............................................. 8A9999 A AA
....
137.1
9.0
2.6
8.1
24.8
43.3
Equity and investment fund shares................. 8AA000 A AA
....
147.5
3.4
17.9
17.8
1.0
1.5
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

147.5
....
....
10.5
....
10.5
....
14.9
....
....
....
....
....
....
14.9
....
....
....
14.9
....
....
394.3
....
394.3
3.9
234.0
.6
155.9
....
608.5
42.6
5.3
....
560.6

3.4
....
....
12.4
....
12.4
....
19.3
....
....
....
....
....
....
19.3
....
....
....
19.3
....
....
433.3
....
433.3
2.9
253.1
.3
177.0
....
814.3
52.8
33.3
....
728.2

17.9
....
....
15.3
....
15.3
....
50.5
27.7
....
....
....
27.7
....
22.8
....
....
....
22.8
....
....
433.8
....
433.8
17.1
229.5
....
221.5
....
1,193.8
69.5
13.8
....
1,110.5

17.8
....
....
9.7
....
9.7
....
78.7
27.7
....
....
....
27.7
....
51.0
....
....
....
51.0
....
....
767.8
....
767.8
2.2
347.9
....
417.8
....
1,222.5
71.9
55.3
....
1,095.4

1.0
....
....
23.7
....
23.7
....
367.3
10.9
....
.6
....
11.6
....
378.3
....
72.5
....
305.8
....
....
963.4
....
963.4
3.9
559.4
....
400.1
....
1,580.9
90.8
162.1
....
1,328.0

1.5
....
....
41.8
....
41.8
....
182.6
33.9
....
4.7
....
38.6
....
216.4
....
48.1
....
168.3
....
....
822.0
....
822.0
3.9
364.0
....
454.2
....
1,716.5
116.8
171.7
....
1,428.0

3,223.7
39.6
1.6
1.6
....
....
38.1
....
38.1
....
304.0
33.9
....
....
....
33.9
....
337.9
....
2.9
....
334.9
....
....
1,048.9
....
1,048.9
3.9
548.0
....
497.1
....
1,831.2
132.1
177.0
....
1,522.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,787.8
507.2
257.9
257.9
....
....
249.3
249.3
....
....
6.1
6.1
....
6.1
....
....
....
....
....
....
....
....
....

3,048.6
607.5
301.3
301.3
....
....
306.2
306.2
....
....
6.6
6.6
....
6.6
....
....
....
....
....
....
....
....
....

3,489.9
803.3
316.4
316.4
....
....
486.9
486.9
....
....
8.7
8.7
....
8.7
....
....
....
....
....
....
....
....
....

3,909.7
1,052.8
359.6
359.6
....
....
693.2
693.2
....
....
21.2
21.2
....
21.2
....
....
....
....
....
....
....
....
....

5,470.7
1,027.5
462.9
462.9
....
....
564.6
564.6
....
....
20.1
20.1
....
20.1
....
....
....
....
....
....
....
....
....

5,404.6
1,075.6
411.6
411.6
....
....
664.1
664.1
....
....
.3
.3
....
.3
....
....
....
....
....
....
....
....
....

5,993.0
1,312.4
483.9
483.9
....
....
828.4
828.4
....
....
6.4
6.4
....
6.4
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
512
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Kyrgyz Republic

917

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: soms per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
2,274.5
....
....
2,274.5
177.9
161.0
1,681.8
253.8
....

....
2,434.5
....
....
2,434.5
163.1
137.6
1,813.9
320.0
....

....
2,677.9
....
....
2,677.9
149.8
226.6
1,929.7
371.8
....

....
2,835.7
....
....
2,835.7
164.5
283.3
1,919.2
468.6
....

....
4,423.1
....
132.8
4,290.3
167.1
339.4
2,335.8
1,448.0
....

....
4,328.6
....
130.5
4,198.1
176.7
130.5
2,469.8
1,421.1
....

....
4,674.2
....
130.1
4,544.1
181.8
164.4
2,644.0
1,553.9
....

....
....

1,633.1 1,790.7 1,809.1 1,832.5 2,534.3 2,640.1 2,769.3


41.301

38.124

35.499

39.418

44.092

47.099

46.485

_______________________________________________________________________________________________________________________________
513
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lao People's Democratic Republic

544

Table 1. ANALYTIC PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
173.8
75.3
139.4
77.5
60.9
29.3

206.3

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

240.9

51.3

42.0

63.2

193.8

149.3

429.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

124.2
57.0

151.5
24.9

139.1
41.7

198.9
58.2

178.4
45.5

218.7
40.1

333.2
110.4

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

173.8

....
....

75.3

....
....

139.4

....
....

77.5

....
....

60.9

....
....

29.3

....
....

206.3

C. Financial Account......................................... 30999F N AA

....

161.8

231.8

399.2

433.4

635.1

476.5

477.2

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

27.7
27.7
....

187.3
187.3
....

323.5
323.5
....

227.8
227.8
....

318.6
318.6
....

278.8
278.8
....

300.7
300.7
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

53.8
53.8
....

11.5
11.5
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

3.4
....
3.4

111.0
....
111.0

134.9
....
134.9

3.0
....
3.0

142.7
....
142.7

173.9
....
173.9

194.7
....
194.7

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

137.5
....
137.5

155.5
....
155.5

210.7
....
210.7

208.7
....
208.7

173.7
....
173.7

317.8
....
317.8

359.7
....
359.7

D. Net Errors and Omissions............................. 40999S N AA


E. Reserves and Related Items.......................... 4Z999S N AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

2006

2007

2008

2009

553.1
882.0

882.0
1,060.2

922.7
1,064.6

1,091.9
1,403.2

1,052.7
1,461.1

1,746.4
2,060.4

1,854.0
2,422.9

204.2
39.0

223.4
37.4

278.1
43.8

92.4

401.6
107.9

17.5

397.3
135.6

146.8

511.0
263.1

66.1

549.6
330.7

350.0

5.0
82.4

16.2
75.4

43.6
94.0

32.1
77.7

41.7
88.8

50.3
133.5

48.3
127.5

328.9

163.6

178.2

7.8

141.9

311.3

408.4

314.0

568.9

12.0

307.1

538.7

511.0

574.1

505.8

270.9

....

5.9

400.7

750.2

407.8

507.9

403.2

322.9

....

6.0

93.6

211.5

103.2

66.3

102.6

52.1

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

12.1
6.1
....

96.9
3.3
....

214.5
3.0
....

98.9
4.3
....

60.7
5.5
....

97.0
5.6
....

57.1
5.0
....

Conversion rates: kip per U.S. dollar................ RFZ F B

. . . . 10,655.2 10,159.9

9,603.2

8,744.2

8,516.1

8,258.8

8,030.1

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
514
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lao People's Democratic Republic

544

Table 2. STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
173.8
75.3
139.4
77.5
60.9
29.3
GOODS AND SERVICES..................................... 1Z9999 B XN
....
163.6
7.8
92.4
17.5
146.8
66.1
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

757.3
920.9
328.9
553.1
553.1
....
....
882.0
882.0
....
165.3
204.2
39.0
....
....
....
....
36.5

....
....
....
....
....
....
....
....
....
....
....

3.5
3.1
29.9

8.0

1,105.5
1,097.6
178.2
882.0
882.0
....
....
1,060.2
1,060.2
....
186.0
223.4
37.4
....
....
....
....
35.6

1.8
4.9
28.9

8.3

1,200.8
1,108.5
141.9
922.7
922.7
....
....
1,064.6
1,064.6
....
234.3
278.1
43.8
....
....
....
....
41.5

1.4
1.9
38.2

8.1

1,493.5
1,511.1
311.3
1,091.9
1,011.3
....
80.6
1,403.2
1,383.0
20.2
293.7
401.6
107.9
....
....
....
....
47.8

1,449.9
1,596.7
408.4
1,052.7
962.1
....
90.6
1,461.1
1,401.3
59.7
261.6
397.3
135.6
....
....
....
....
40.5

18.9

18.7

4.0
2.6
41.3

2.8
2.4
35.4

3.4
3.3
49.2

22.1

6.5
4.7
40.1

22.8

5.6

5.7

10.1

....

....

....

....

139.2
....
139.2
5.0
....
5.0
28.6
....
2.9
....
....
5.8
....
....
19.8
26.0
22.8
8.7
....
....
1.5
....
....
10.4

157.7
....
157.7
8.9
....
8.9
30.1
....
3.2
....
....
6.1
....
....
20.8
20.3
24.4
12.4
....
....
1.6
....
....
6.6

189.4
....
189.4
8.4
....
8.4
47.2
....
7.2
....
....
17.2
....
....
22.8
27.3
34.9
16.1
....
....
2.4
....
....
6.1

275.5
....
275.5
41.3
....
41.3
78.3
....
8.3
....
....
27.8
....
....
42.2
47.7
26.3
11.3
....
....
4.4
....
....
5.6

267.7
....
267.7
82.5
....
82.5
89.0
27.0
10.0
....
....
28.8
....
....
23.3
34.4
11.8
11.0
....
....
5.8
....
....
5.8

381.7
....
381.7
202.7
....
202.7
73.5
13.1
10.9
....
....
27.3
....
....
22.2
38.4
10.7
13.2
....
....
8.9
....
....
5.6

406.2
....
406.2
237.1
....
237.1
92.2
12.0
24.5
.6
....
31.0
....
....
24.1
70.8
23.1
32.0
1.5
....
8.5
....
....
5.7

77.3
5.0
82.4
.8
.8
4.2
....
....
....
....
....

59.2
16.2
75.4
4.2
5.4
12.0
....
....
....
....
....

50.3
43.6
94.0
6.2
6.0
37.4
....
....
....
....
....

45.6
32.1
77.7
11.6
5.5
20.5
....
....
....
....
....

47.0
41.7
88.8
27.7
8.0
14.0
....
....
....
....
....

83.2
50.3
133.5
35.1
13.5
15.2
2.0
2.0
2.0
....
....

79.1
48.3
127.5
30.1
34.5
18.2
1.3
1.3
1.3
....
....

2.7

2.4

8.8

....

11.2

12.0

206.3
350.0
2,403.6
2,753.6
568.9
1,854.0
1,742.2
....
111.8
2,422.9
2,256.6
166.2
218.9
549.6
330.7
....
....
....
....
51.3

5.1
2.8

7.5

2,257.4
2,323.5
314.0
1,746.4
1,615.0
....
131.4
2,060.4
1,850.7
209.8
247.9
511.0
263.1
....
....
....
....
55.8

2011

....

10.1

10.7

....

12.0

_______________________________________________________________________________________________________________________________
515
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lao People's Democratic Republic

544

Table 2 (Continued). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
4.2
....
4.2
....
....
....
....
81.5
24.9
24.9
24.9
....
....
51.3
....
....
....
51.3
5.3
....
5.3
....
....
....

....
....
....
....
....
12.0
....
12.0
....
....
....
....
70.0
23.4
23.4
23.4
....
....
40.6
....
....
....
40.6
6.0
....
6.0
....
....
....

....
....
....
....
....
37.4
....
37.4
....
....
....
....
88.0
47.7
47.7
47.7
....
....
38.0
....
....
....
38.0
2.3
....
2.3
....
....
....

....
....
....
....
....
20.5
....
20.5
....
....
....
....
72.2
25.6
25.6
25.6
....
....
28.5
....
....
....
28.5
18.2
....
18.2
....
....
....

....
....
....
....
....
14.0
....
14.0
....
....
....
....
80.8
43.1
43.1
43.1
....
....
35.2
....
....
....
35.2
2.5
....
2.5
....
....
....

....
....
....
....
....
13.2
....
13.2
....
....
....
....
120.0
44.2
44.2
44.2
....
....
69.1
....
....
....
69.1
6.7
....
6.7
....
....
....

....
....
....
....
....
16.9
....
16.9
....
....
....
....
93.0
16.2
16.2
16.2
....
....
76.7
....
....
....
76.7
.1
....
.1
....
....
....

....
....
....
....
....
....
....
....
....
....
....

67.2
124.2
34.2
90.0
....
90.0
57.0
....
57.0
....
57.0

126.6
151.5
67.5
84.0
....
84.0
24.9
....
24.9
....
24.9

97.4
139.1
46.3
92.8
....
92.8
41.7
....
41.7
....
41.7

140.7
198.9
77.1
121.8
6.2
115.6
58.2
....
58.2
3.8
54.3

132.9
178.4
97.5
80.9
9.9
71.0
45.5
....
45.5
14.4
31.1

178.6
218.7
108.6
110.1
6.7
103.4
40.1
....
40.1
5.8
34.3

222.8
333.2
149.2
183.9
80.2
103.8
110.4
....
110.4
41.2
69.2

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

167.8

325.4

610.7

330.2

568.8

373.9

529.3

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

27.7
....
....
....
....
....
....
....
....
....
....
....

187.3
....
....
....
....
....
....
....
....
....
....
....

323.5
....
....
....
....
....
....
....
....
....
....
....

227.8
....
....
....
....
....
....
....
....
....
....
....

318.6
....
....
....
....
....
....
....
....
....
....
....

278.8
....
....
....
....
....
....
....
....
....
....
....

300.7
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
516
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lao People's Democratic Republic

544

Table 2 (Concluded). STANDARD PRESENTATION, 20052011


(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

27.7
27.7
27.7
27.7
....
....
....
....
....
....
....

187.3
187.3
187.3
187.3
....
....
....
....
....
....
....

323.5
323.5
323.5
323.5
....
....
....
....
....
....
....

227.8
227.8
227.8
227.8
....
....
....
....
....
....
....

318.6
318.6
318.6
318.6
....
....
....
....
....
....
....

278.8
278.8
278.8
278.8
....
....
....
....
....
....
....

300.7
300.7
300.7
300.7
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

53.8
....
....
....
....
....
....
....
....
....
....
....
....
....
53.8
53.8
....
....
....
53.8
....
....
....
....
....
....
....

11.5
....
....
....
....
....
....
....
....
....
....
....
....
....
11.5
11.5
....
....
....
11.5
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

128.0
3.4
....
3.4
....
3.4
....
....
....
131.5
....
....
131.5
6.1
13.5
124.0
....
....

41.2
111.0
....
111.0
....
111.0
....
....
....
152.2
....
....
152.2
3.3
24.7
130.8
....
....

72.8
134.9
....
134.9
....
134.9
....
....
....
207.7
....
....
207.7
3.0
17.9
192.8
....
....

201.3
3.0
....
3.0
....
3.0
....
....
....
204.4
....
....
204.4
4.3
74.7
133.9
....
....

310.9
142.7
....
142.7
....
142.7
....
....
....
168.2
....
64.4
103.8
5.5
9.9
119.2
....
....

138.4
173.9
....
173.9
....
173.9
....
....
....
312.3
....
....
312.3
5.6
203.5
114.3
....
....

160.0
194.7
....
194.7
....
194.7
....
....
....
354.7
....
....
354.7
5.0
222.6
137.1
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

12.1
1.0
.1
....
11.0

96.9
2.3
.1
....
94.5

214.5
1.7
....
....
212.8

98.9
.8
....
....
99.7

60.7
....
64.4
....
3.7

97.0
.2
....
....
97.2

57.1
.1
....
....
57.2

NET ERRORS AND OMISSIONS.........................

....

5.9

400.7

750.2

407.8

507.9

403.2

322.9

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
517
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Latvia

941
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
1,992
4,522
6,425
4,492
2,284
724

628

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

2,589

5,001

6,804

5,261

1,400

148

1,497

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,373
776

1,789
1,310

2,023
1,644

2,191
1,422

1,984
1,100

1,643
772

1,816
947

B. Capital Account........................................... 20999F B AA

....

212

239

578

513

622

470

607

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

220
8

1,780

249
10

4,283

588
10

5,847

535
23

3,979

637
15

2,906

485
15

1,193

619
12

22

C. Financial Account......................................... 30999F N AA

....

2,600

6,141

7,042

3,255

1,801

897

1,062

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

227
106
121

211
97
114

769
289
480

343
178
165

194
76
270

82
40
122

107
78
29

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

812
595
217

1,702
1,246
457

2,714
1,943
770

1,435
586
849

44
596
552

433
277
156

1,502
1,154
348

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

270
73
197

246
73
174

607
170
437

222
433
211

161
166
327

370
290
79

857
258
600

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

131
12
119

294
22
272

52
12
39

151
50
201

11
8
19

34
9
43

237
38
199

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

76
58
134

60
130
70

229
334
105

67
325
392

403
639
236

267
349
616

123
581
458

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

398
....
398

1,953
....
1,953

6,063
....
6,063

504
....
504

1,046
....
1,046

792
....
792

404
....
404

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

2,626
....
2,626

6,495
....
6,495

11,590
....
11,590

2,361
....
2,361

1,481
....
1,481

214
....
214

1,557
....
1,557

D. Net Errors and Omissions............................. 40999S N AA

....

296

120

212

577

180

274

103

E. Reserves and Related Items.......................... 4Z999S N AA

....

524

1,979

982

1,301

1,285

570

1,186

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

524
....
....

1,979
....
....

982
....
....

487
814
....

1,563
278
....

981
411
....

1,186
....
....

Conversion rates: lats per U.S. dollar............... RFZ F B

....

.5647

.5604

.5138

.4808

.5056

.5305

.5012

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

4,763
7,987

5,566
10,872

7,684
14,790

9,025
15,247

6,987
8,979

8,777
10,623

11,499
14,740

3,224

5,306

7,106

6,222

1,992

1,847

3,241

2,347
1,535

2,818
1,980

3,916
2,706

4,768
3,211

4,013
2,276

3,819
2,182

210

4,617
2,607

1,231

1,324
331

992
930

1,251
1,517

2,413

4,469

5,896

4,666

772
948

1,078
1,610

1,487
2,396

1,785
2,381

820

1,858

1,195

724

255

1,104

296

1,084

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
518
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Latvia

941
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
1,992
4,522
6,425
4,492
2,284
724
GOODS AND SERVICES..................................... 1Z9999 B XN
....
2,413
4,469
5,896
4,666
255
210
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

7,109
9,522
3,224
4,763
4,737
26
....
7,987
7,987
....
812
2,347
1,535
116
31
94
10
1,226

8,384
12,853
5,306
5,566
5,560
6
....
10,872
10,872
....
838
2,818
1,980
110
22
71
23
1,423

11,600
17,496
7,106
7,684
7,630
54
....
14,790
14,790
....
1,210
3,916
2,706
188
35
77
39
1,886

507

71
245
191

646

84
323
239

793

480
142
337
704
141
564
734
25
10
179
11
146
327
6
30
630
42
27
30
20
137
343
15
18

672
200
471
927
155
772
1,093
53
17
264
13
168
531
9
38
983
157
53
55
40
187
447
21
24

803
236
567
1,142
216
927
1,363
87
16
288
13
220
685
12
43
1,218
216
40
105
36
206
555
32
27

723
201
522
799
172
627
1,148
37
27
248
7
212
577
9
32
896
90
26
82
26
201
432
21
18

640
199
441
647
139
509
1,203
79
27
215
12
214
609
12
35
889
68
25
84
33
197
451
17
16

771
232
539
766
161
605
1,428
86
25
312
10
259
677
22
37
1,028
70
29
106
52
239
501
16
17

....
....
....
....
....
....
....
....
....
....
....

176
772
948
379
16
392
35
35
13
21
....

532
1,078
1,610
481
25
597
35
34
14
20
....

908
1,487
2,396
551
40
937
68
66
18
49
1

596
1,785
2,381
600
54
1,186
55
53
22
31
2

1,655
1,324
331
589
43
735
72
76
16
93
4

62
992
930
614
43
379
30
34
7
41
4

265
1,251
1,517
695
47
556
58
54
31
23
4

341
109
232
584
160
423
569
14
11
129
10
108
265
5
29
466
12
28
31
14
104
249
13
16

142
845
435

209
1,068
610

94
440
259

331
1,292
699

830

108
461
261

11,000
11,255
1,992
6,987
6,972
15
....
8,979
8,979
....
1,737
4,013
2,276
130
18
54
17
1,958

290
1,040
628

582

107
280
196

12,595
12,805
1,847
8,777
8,770
6
....
10,623
10,623
....
1,637
3,819
2,182
79
29
66
12
1,831

628
1,231
16,116
17,347
3,241
11,499
11,500
1
....
14,740
14,740
....
2,010
4,617
2,607
101
22
64
14
2,253

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

105
714
407

13,793
18,458
6,222
9,025
8,975
51
....
15,247
15,247
....
1,556
4,768
3,211
171
24
109
45
2,322

2011

323
939
570

663

124
337
201

331
1,223
700

821

154
456
211

_______________________________________________________________________________________________________________________________
519
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Latvia

941
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

186
1
....
....
186
171
....
171
....
....
....
....
932
617
585
250
335
32
110
3
....
....
107
205
....
205
....
....
....

302
2
....
....
301
261
....
261
....
....
....
....
1,585
983
951
216
735
32
190
4
....
....
186
413
....
413
....
....
....

377
2
....
....
376
492
....
492
....
....
....
....
2,356
1,240
1,171
509
663
69
150
7
....
....
143
966
....
966
....
....
....

511
4
....
....
507
620
....
620
....
....
....
....
2,328
611
511
500
11
101
308
7
....
....
301
1,408
....
1,408
....
....
....

355
1
....
....
353
452
....
452
....
....
....
....
374
1,462
1,560
624
2,184
99
189
9
....
....
180
899
....
899
....
....
....

172
3
....
....
169
237
....
237
....
....
....
....
887
129
48
417
370
82
67
....
....
....
67
690
....
690
....
....
....

264
8
....
....
256
234
....
234
....
....
....
....
1,469
630
574
372
202
57
71
3
....
....
68
768
....
768
....
....
....

....
....
....
....
....
....
....
....
....
....
....

596
1,373
251
1,122
2
1,120
776
183
594
4
590

479
1,789
254
1,535
2
1,534
1,310
224
1,086
4
1,081

380
2,023
363
1,661
2
1,659
1,644
295
1,348
5
1,343

769
2,191
416
1,776
2
1,774
1,422
343
1,079
4
1,075

883
1,984
625
1,358
2
1,356
1,100
303
797
3
795

871
1,643
761
883
....
883
772
261
511
....
511

868
1,816
718
1,098
....
1,098
947
297
650
....
650

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

212
....
2
220
218
....
218
2
5
....
....
....
5

239
7
1
242
242
....
242
....
9
....
....
....
9

578
1
....
586
586
....
586
1
10
....
....
....
10

513
6
....
529
528
....
528
1
22
....
....
....
22

622
....
....
637
604
....
604
33
15
....
....
....
15

470
....
1
485
466
....
466
18
14
....
....
....
14

607
....
1
619
619
....
619
....
12
....
....
....
12

FINANCIAL ACCOUNT........................................ 30999S N AA

....

2,076

4,162

6,059

4,556

3,086

1,467

124

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

585
227
106
85
62
22
....
21
121
49
72
....

1,491
211
97
77
98
21
....
20
114
66
48
....

1,945
769
289
240
240
....
....
49
480
103
377
....

1,092
343
178
147
144
3
....
31
165
81
84
....

150
194
76
169
147
22
....
93
270
107
163
....

351
82
40
2
9
8
....
41
122
55
66
....

1,395
107
78
55
31
25
....
23
29
14
15
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
520
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Latvia

941
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

812
595
260
260
....
....
335
217
213
4
....

1,702
1,246
511
511
....
....
735
457
446
11
....

2,714
1,943
1,281
1,281
....
....
663
770
749
21
....

1,435
586
575
574
1
....
11
849
859
10
....

44
596
1,588
1,588
....
....
2,184
552
548
4
....

433
277
647
647
....
....
370
156
151
6
....

1,502
1,154
952
952
....
....
202
348
343
6
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

138
270
73
....
13
....
60
....
197
....
171
....
26
....
131
12
....
10
....
23
....
119
....
119
1
....
....

48
246
73
....
23
....
50
....
174
....
143
....
31
....
294
22
....
13
....
9
....
272
....
258
14
....
....

659
607
170
....
1
....
171
....
437
....
228
....
209
....
52
12
....
20
....
32
....
39
....
50
11
1
....

373
222
433
....
12
....
421
....
211
....
4
15
192
....
151
50
....
35
....
16
....
201
....
172
378
5
....

172
161
166
....
26
....
192
....
327
....
390
....
63
....
11
8
....
34
....
41
....
19
....
1
19
1
....

404
370
290
....
20
....
310
....
79
....
109
....
30
....
34
9
....
4
....
6
....
43
....
30
18
5
....

620
857
258
....
26
....
232
....
600
....
391
....
209
....
237
38
....
38
....
....
....
199
....
148
349
3
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

76
58
134

60
130
70

229
334
105

67
325
392

403
639
236

267
349
616

123
581
458

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,229
398
....
398
1
169
23
542
....
2,626
....
....
2,626
36
2,482
50
230
....

4,542
1,953
....
1,953
1
687
1
1,267
....
6,495
....
....
6,495
33
5,131
56
1,275
....

5,526
6,063
....
6,063
1
3,896
32
2,135
....
11,590
....
....
11,590
21
8,477
201
2,933
....

2,672
504
....
504
1
1,126
16
1,645
....
3,175
....
....
3,175
715
805
908
748
....

2,249
1,046
....
1,046
....
248
....
799
....
1,203
....
189
1,391
613
4,186
3,761
353
....

167
792
....
792
....
828
....
36
....
625
....
....
625
60
945
1,635
4
....

1,961
404
....
404
....
455
....
51
....
1,557
....
....
1,557
10
2,115
119
429
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

524
....
....
....
524

1,979
....
....
....
1,979

982
....
....
....
982

487
....
....
....
487

1,563
....
186
....
1,377

981
....
3
....
978

1,186
....
43
....
1,144

NET ERRORS AND OMISSIONS.........................

....

296

120

212

577

180

274

103

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
521
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Latvia

941
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
10,257
15,440
25,339
25,565
28,161
28,690
Direct investment............................................. 8A9999 A AA
....
495
741
1,717
1,967
1,754
1,732
Equity and investment fund shares................. 8AA000 A AA
....
197
304
640
703
671
605
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

169
28
....
297
124
174
....
1,601
168
....
51
....
117
....
1,433
....
1,345
....
89
....
21
5,780
....
5,780
5
4,220
70
1,485
....
2,361
128
....
....
2,232

293
11
....
437
205
232
....
2,041
300
....
94
....
206
....
1,742
....
1,596
....
146
....
80
8,068
....
8,068
6
4,986
77
2,999
....
4,509
156
....
....
4,353

626
14
....
1,077
344
733
....
2,807
530
....
106
....
424
....
2,277
....
1,901
....
376
....
101
14,956
....
14,956
7
9,109
118
5,722
....
5,758
205
....
....
5,553

686
17
....
1,263
411
852
....
2,920
522
....
62
....
460
....
2,398
....
1,792
....
606
....
415
15,015
....
15,015
7
7,795
84
7,129
....
5,248
220
....
....
5,028

630
41
....
1,084
309
774
....
2,989
771
....
53
....
718
....
2,217
....
1,506
....
712
....
133
16,379
....
16,379
7
8,087
84
8,201
....
6,905
275
187
....
6,444

584
21
....
1,127
332
796
....
3,204
1,015
....
40
....
975
....
2,190
....
1,571
....
619
....
88
16,059
....
16,059
6
8,584
82
7,386
....
7,606
350
187
....
7,069

28,327
1,844
619
582
37
....
1,226
326
900
....
3,750
1,145
....
59
....
1,086
....
2,605
....
1,906
....
699
....
146
16,201
....
16,201
38
8,963
81
7,119
....
6,386
386
145
....
5,855

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

19,308
5,141
3,865
3,865
....
....
1,277
1,266
10
....
1,118
233
....
55
....
178
....
885
....
179
706
....
....

29,959
7,742
5,802
5,802
....
....
1,941
1,917
23
....
1,599
329
....
98
....
230
....
1,271
....
463
795
13
....

48,070
11,633
8,606
8,606
....
....
3,027
2,982
44
....
1,787
388
....
144
....
244
....
1,399
....
460
914
24
....

51,238
12,450
8,577
8,576
1
....
3,873
3,831
43
....
1,735
227
....
77
....
150
....
1,508
....
294
1,191
23
....

50,448
12,465
8,081
8,081
....
....
4,384
4,335
48
....
1,741
202
....
88
....
114
....
1,539
....
298
1,221
20
....

48,070
11,603
8,183
8,183
....
....
3,420
3,384
36
....
1,617
221
....
80
....
142
....
1,396
....
276
1,097
22
....

47,745
13,073
9,096
9,096
....
....
3,977
3,932
45
....
1,750
270
....
81
....
189
....
1,480
....
156
1,322
2
....

_______________________________________________________________________________________________________________________________
522
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Latvia

941
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: lats per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

31
13,018
....
....
13,018
9
10,093
308
2,609
....

60
20,558
....
....
20,558
43
15,870
396
4,248
....

110
34,541
....
....
34,541
24
25,902
635
7,979
....

178
36,874
....
....
36,874
780
26,041
1,586
8,467
....

155
36,087
....
189
35,898
108
21,954
5,556
8,279
....

91
34,759
....
186
34,573
44
20,158
6,762
7,609
....

141
32,780
....
185
32,595
53
17,845
7,036
7,660
....

....

9,051

14,519

22,731

25,673

22,288

19,380

19,418

....

.5930

.5360

.4840

.4950

.4890

.5350

.5440

_______________________________________________________________________________________________________________________________
523
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lebanon

446
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
2,748
1,221
1,605
4,103
6,741
7,462

4,163

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

5,386
19,304

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

3,811

3,085

4,373

6,463

8,568

10,218

6,734

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

4,399
3,337

5,053
3,189

5,219
2,450

6,070
3,709

6,642
4,815

8,394
5,637

8,361
5,790

B. Capital Account........................................... 20999F B AA

....

27

1,940

590

410

18

268

165

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

27
....

2,721

1,944
4

720

591
1

1,015

410
....

3,693

25
7

6,723

673
405

7,194

446
281

3,998

C. Financial Account......................................... 30999F N AA

....

3,786

2,240

6,424

12,693

18,700

4,554

10,937

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

715
715
....

875
875
....

848
848
....

987
987
....

1,126
1,126
....

487
487
....

745
745
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

2,624
2,624
....

2,675
2,675
....

3,376
3,376
....

4,333
4,333
....

4,804
4,804
....

4,280
4,280
....

3,476
3,476
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

112
152
40

358
206
152

1,560
472
1,088

566
403
163

826
707
119

1,016
1,083
2,099

688
1,293
605

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

648
1,436
788

2,024
551
1,473

1,730
791
939

1,203
466
738

2,690
929
1,761

694
147
841

1,141
240
1,382

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

2,638
....
2,638

1,598
....
1,598

529
....
529

7,819
....
7,819

5,083
....
5,083

2,082
....
2,082

6,111
....
6,111

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

1,296
....
1,296

1,066

373
....
373

2,960

3,197
....
3,197

5,409

890
....
890

9,000

8,075
....
8,075

11,977

389
....
389

2,640

3,924
....
3,924

6,939

D. Net Errors and Omissions............................. 40999S N AA

....

608

2,814

6,074

1,664

3,042

5,700

4,645

E. Reserves and Related Items.......................... 4Z999S N AA

....

458

146

665

7,336

8,935

3,059

2,294

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

458
....
....

250
....
105

588
77
....

7,374
38
....

8,935
....
....

3,040
20
....

2,254
40
....

Conversion rates: Lebanese pounds per U.S.


dollar............................................................. RFZ F B

....

1,507.5

1,507.5

1,507.5

1,507.5

1,507.5

1,507.5

1,507.5

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

2,361
8,959

2006

2,814
9,025

2007

3,574
11,463

2008

4,454
15,531

2009

4,187
15,394

4,689
17,188

6,598

6,211

7,889

11,077

11,207

12,499

13,919

10,864
7,890

11,673
8,731

12,758
9,983

17,636
13,459

16,910
14,043

16,114
13,324

19,759
12,989

3,624

3,269

5,114

6,900

8,340

9,709

7,150

1,733
1,919

2,440
2,256

3,113
2,373

2,723
2,286

2,040
2,268

1,448
1,957

1,616
1,201

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
524
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lebanon

446
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
2,748
1,116
1,605
4,103
6,741
7,462
GOODS AND SERVICES..................................... 1Z9999 B XN
....
3,624
3,269
5,114
6,900
8,340
9,709
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

13,225
16,849
6,598
2,361
2,241
....
120
8,959
8,625
334
2,974
10,864
7,890
6
6
....
2
438

14,487
17,756
6,211
2,814
2,369
....
445
9,025
8,879
146
2,942
11,673
8,731
92
5
....
1
477

16,333
21,446
7,889
3,574
3,260
....
315
11,463
11,197
266
2,775
12,758
9,983
4
5
....
....
580

22,089
28,989
11,077
4,454
4,135
....
319
15,531
15,018
513
4,177
17,636
13,459
62
5
....
....
499

21,097
29,437
11,207
4,187
3,345
....
842
15,394
14,945
450
2,867
16,910
14,043
21
8
....
....
383

20,803
30,512
12,499
4,689
3,859
....
830
17,188
16,386
802
2,790
16,114
13,324
98
145
40
42
650

4,163
7,150
25,144
32,294
13,919
5,386
4,217
....
1,169
19,304
17,619
1,685
6,769
19,759
12,989
31
1
41
49
1,353

....
....
1,332

....
....
1,500

....
....
1,719

....
....
1,943

....
....
2,160

1,836

2,071

....
5,532
529
5,002
2,908
179
2,729
4,889
....
209
58
....
241
4,362
....
19
3,655
....
248
10
....
139
3,242
....
16

....
4,981
72
4,909
3,006
82
2,924
6,123
....
189
129
....
305
5,485
....
16
4,228
....
260
19
....
217
3,717
....
15

....
5,216
100
5,116
3,114
94
3,020
6,959
....
265
105
....
250
6,328
....
11
5,155
....
287
19
....
211
4,622
....
16

....
5,819
178
5,641
3,564
269
3,296
11,256
....
266
100
....
329
10,545
....
16
7,956
....
301
27
....
249
7,360
....
19

....
6,774
234
6,541
4,012
197
3,815
9,732
....
242
115
....
483
8,878
....
15
7,878
....
16
28
1
246
7,600
....
19

8,019
201
7,818
4,911
143
4,769
7,306
598
66
2,076
7
472
3,817
202
68
6,680
508
263
1,010
13
401
4,347
114
24

6,821
399
6,422
4,199
201
3,998
11,513
535
61
1,227
7
491
8,974
166
51
6,669
498
250
309
25
397
5,058
113
19

....
....
....
....
....
....
....
....
....
....
....

186
1,733
1,919
667
731
1,066
122
122
122
....
....

184
2,440
2,256
579
661
1,860
79
79
79
....
....

740
3,113
2,373
747
597
2,366
68
68
68
....
....

437
2,723
2,286
1,405
790
1,318
121
121
121
....
....

228
2,040
2,268
1,173
1,034
867
137
137
137
....
....

509
1,448
1,957
545
544
903
196
196
196
....
....

415
1,616
1,201
546
519
1,070
426
426
426
....
....

437

657
675

476

777
724

580

800
919

498

733
1,211

383

916
1,244

165
264
222

353
1,292
191

249
934
170

436
1,453
182

_______________________________________________________________________________________________________________________________
525
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lebanon

446
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

64
....
....
....
64
881
....
881
....
....
....
....
1,188
95
95
95
....
....
447
....
....
....
447
646
....
646
....
....
....

70
....
....
....
70
1,712
....
1,712
....
....
....
....
1,595
96
96
96
....
....
467
....
....
....
467
1,032
....
1,032
....
....
....

75
....
....
....
75
2,223
....
2,223
....
....
....
....
1,776
64
64
64
....
....
519
....
....
....
519
1,192
....
1,192
....
....
....

60
....
....
....
60
1,137
....
1,137
....
....
....
....
1,496
121
121
121
....
....
430
....
....
....
430
945
....
945
....
....
....

64
....
....
....
64
666
....
666
....
....
....
....
1,234
95
95
95
....
....
382
....
....
....
382
757
....
757
....
....
....

44
27
....
....
17
663
....
663
....
....
....
....
1,413
209
209
209
....
....
354
18
....
....
335
851
....
851
....
....
....

36
22
....
....
15
608
....
608
....
....
....
....
681
183
183
183
....
....
306
24
....
....
281
193
....
193
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,063
4,399
8
4,392
4,257
134
3,337
8
3,329
3,281
48

1,969
5,157
113
5,045
4,623
422
3,189
3
3,185
2,784
401

2,769
5,219
13
5,205
5,022
183
2,450
10
2,440
2,365
75

2,360
6,070
55
6,015
5,775
240
3,709
25
3,684
3,576
108

1,827
6,642
21
6,621
6,385
236
4,815
24
4,791
4,715
76

2,756
8,394
27
8,367
6,806
1,561
5,637
39
5,598
3,977
1,621

2,571
8,361
31
8,330
6,857
1,473
5,790
56
5,734
4,163
1,571

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

27
....
....
27
27
....
27
....
....
....
....
....
....

1,940
....
....
1,944
1,944
....
1,944
....
4
4
....
4
....

590
....
....
591
591
....
591
....
1
1
....
1
....

410
....
....
410
410
....
410
....
....
....
....
....
....

18
1
1
24
24
....
24
....
6
6
....
6
....

268
273
214
400
26
....
26
374
190
....
....
....
190

165
158
139
288
26
....
26
261
142
....
....
....
142

FINANCIAL ACCOUNT........................................ 30999S N AA

....

3,329

1,990

7,089

5,357

9,765

1,494

8,643

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

1,908
715
715
715
715
....
....
....
....
....
....
....

1,800
875
875
875
875
....
....
....
....
....
....
....

2,528
848
848
848
848
....
....
....
....
....
....
....

3,346
987
987
987
987
....
....
....
....
....
....
....

3,678
1,126
1,126
1,126
1,126
....
....
....
....
....
....
....

3,793
487
487
487
487
....
....
....
....
....
....
....

2,731
745
745
745
745
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
526
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lebanon

446
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

2,624
2,624
2,624
2,624
....
....
....
....
....
....
....

2,675
2,675
2,675
2,675
....
....
....
....
....
....
....

3,376
3,376
3,376
3,376
....
....
....
....
....
....
....

4,333
4,333
4,333
4,333
....
....
....
....
....
....
....

4,804
4,804
4,804
4,804
....
....
....
....
....
....
....

4,280
4,280
4,280
4,280
....
....
....
....
....
....
....

3,476
3,476
3,476
3,476
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

536
112
152
....
115
1
36
....
40
....
66
....
26
....
648
1,436
....
153
....
1,283
....
788
313
152
746
119
....

1,665
358
206
....
201
1
3
....
152
....
101
....
51
....
2,024
551
....
163
....
388
....
1,473
1,752
143
1,048
625
....

170
1,560
472
....
46
3
515
....
1,088
....
1,095
....
8
....
1,730
791
....
183
....
609
....
939
35
112
620
1,412
....

637
566
403
....
257
....
146
....
163
....
180
....
17
....
1,203
466
....
127
....
339
....
738
333
276
436
1,231
....

1,865
826
707
....
241
....
465
....
119
....
10
....
109
....
2,690
929
....
464
....
465
....
1,761
108
1,215
709
1,362
....

1,710
1,016
1,083
....
33
....
1,050
....
2,099
....
840
....
1,259
....
694
147
....
185
....
38
....
841
11
694
288
152
....

1,829
688
1,293
....
86
....
1,379
....
605
....
69
....
674
....
1,141
240
....
242
....
1
....
1,382
....
760
800
178
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,342
2,638
....
2,638
....
3,783
65
1,211
....
1,296
....
....
1,296
22
463
73
738
....

1,225
1,598
....
1,598
....
1,617
44
3,259
....
373
....
....
373
2
482
51
59
....

3,803
529
....
529
....
877
29
377
....
3,274
....
....
3,274
321
1,481
299
1,174
....

8,747
7,819
....
7,819
....
6,254
12
1,553
....
928
....
....
928
131
2,256
169
1,628
....

13,158
5,083
....
5,083
....
2,820
27
2,236
....
8,075
....
295
7,780
52
5,701
226
2,355
....

2,451
2,082
....
2,082
....
2,706
....
625
....
369
....
....
369
179
1,970
138
1,283
....

9,995
6,111
....
6,111
....
7,107
....
996
....
3,884
....
....
3,884
56
3,962
164
142
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

458
....
1
....
456

250
....
2
....
248

588
....
1
....
587

7,374
....
1
....
7,376

8,935
....
294
....
8,641

3,040
....
1
....
3,041

2,254
....
26
25
2,255

NET ERRORS AND OMISSIONS.........................

....

608

2,814

6,074

1,664

3,042

5,700

4,645

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
527
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lesotho

666
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
26.6
91.8
98.2
123.1
49.8
440.3

520.1

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

634.3
1,289.4

718.2
1,359.1

829.7
1,506.2

884.0
1,531.7

734.1
1,583.3

849.2

877.7
1,968.7

1,091.0

1,172.2
2,155.4

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

33.8
367.6

41.4
364.5

42.5
388.9

43.0
369.1

43.7
371.9

40.9
475.6

47.5
542.1

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

500.6

484.4

597.3

569.8

774.2

1,107.0

1,145.7

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

497.2
23.2

598.7
22.4

719.6
24.2

716.6
23.7

747.9
23.5

687.2
20.5

646.6
21.0

B. Capital Account........................................... 20999F B AA

....

14.9

6.7

24.2

18.6

74.6

136.2

184.0

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

21.3
6.4

11.7

11.0
4.3

98.6

32.0
7.9

122.3

23.6
4.9

141.7

79.6
4.9

24.9

155.7
19.5

304.1

214.8
30.8

336.0

C. Financial Account......................................... 30999F N AA

....

58.8

255.1

91.4

52.5

60.1

52.4

165.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

.9
.9
....

3.3
3.3
....

1.9
.2
1.7

1.8
.2
1.6

1.9
.2
1.7

2.3
.3
2.0

3.9
.3
3.6

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

70.3
71.1
.8

59.9
56.9
3.0

106.5
102.8
3.7

111.9
108.4
3.5

99.9
96.3
3.6

113.7
109.3
4.3

132.1
127.5
4.6

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

.9
....
.9

1.6
....
1.7

.2
.2
.4

.2
.2
.3

.2
.2
.3

.2
.2
.4

.2
.2
.4

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

1.3
1.3
....

.1
....
.1

.1
....
.1

.1
....
.1

.2
....
.1

.2
....
.1

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

148.3
....
148.3

261.8
....
261.8

234.2
....
234.2

205.1
....
205.1

125.7
....
125.7

158.6
....
158.6

24.5
....
24.5

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

19.1
....
19.1

70.5

49.5
....
49.5

156.5

34.5
....
34.5

31.0

38.9
....
38.9

89.2

84.0
....
84.0

84.9

9.6
....
9.6

5.2
....
5.2

D. Net Errors and Omissions............................. 40999S N AA

....

114.2

347.3

238.9

184.2

E. Reserves and Related Items.......................... 4Z999S N AA

....

43.7

190.8

269.9

273.4

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

43.7
....
....

190.3
.5
....

267.2
2.7
....

Conversion rates: maloti per U.S. dollar........... RFZ F B

....

6.359

6.772

7.045

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

655.1

2006

640.9

2007

676.5

2008

647.6

2009

983.2

989.0

963.9

1,022.9

973.7

1,177.4

1,525.7

1,477.8

723.1
234.8

744.8
265.3

795.5
369.8

748.5
344.6

698.0
294.8

743.9
325.2

727.1
394.9

356.5

170.3

112.4

142.7

237.9

27.5

213.8

67.6

268.4
5.0
....

33.5
5.9
....

209.9
4.0
....

69.5
1.9
....

8.261

8.474

7.321

7.261

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
528
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lesotho

666
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
26.6
91.8
98.2
123.1
49.8
440.3
520.1
GOODS AND SERVICES..................................... 1Z9999 B XN
....
989.0
963.9 1,022.9
973.7 1,177.4 1,525.7 1,477.8
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

668.1
1,657.0
655.1
634.3
634.3
....
....
1,289.4
1,289.4
....
333.8
33.8
367.6
....
....
....
....
.8
....
....

759.6
1,723.5
640.9
718.2
718.2
....
....
1,359.1
1,359.1
....
323.0
41.4
364.5
....
....
....
....
.7
....
....

872.2
1,895.1
676.5
829.7
829.7
....
....
1,506.2
1,506.2
....
346.5
42.5
388.9
....
....
....
....
1.1
....
....

927.1
1,900.7
647.6
884.0
884.0
....
....
1,531.7
1,531.7
....
326.0
43.0
369.1
....
....
....
....
1.0
....
....

40.5

37.1

43.6

48.0

....
....
....
....
....
....
....
....
....
....
....

.8

.7

1.1

7.7
35.6
.3

1.0

5.4
42.1
.5

777.8
918.6
1,955.2
2,444.3
849.2 1,091.0
734.1
877.7
734.1
877.7
....
....
....
....
1,583.3 1,968.7
1,583.3
1,968.7
....
....
328.2
434.7
43.7
40.9
371.9
475.6
....
....
....
....
....
....
....
....
.9
3.6
....
....
....
....

.9

46.3

7.7
37.8
.8

3.6

66.7

8.4
57.1
1.3

1,219.6
2,697.5
983.2
1,172.2
1,172.2
....
....
2,155.4
2,155.4
....
494.7
47.5
542.1
....
....
....
....
4.5
....
....

4.5

73.7

8.9
31.5

3.0
34.1

9.6
62.5
1.6

....
27.1
....
27.1
262.1
237.0
25.1
5.9
....
2.3
....
....
1.9
2.1
....
4.1
65.1
....
10.7
2.9
1.7
3.1
31.7
....
15.1

....
29.4
....
29.4
259.5
242.9
16.6
11.4
....
.2
....
....
5.3
2.2
....
4.0
67.9
....
11.7
2.9
1.7
2.6
28.9
....
20.2

30.8
....
30.8
268.0
253.4
14.6
10.5
....
.1
....
....
4.3
2.2
....
4.0
77.3
....
12.8
3.0
1.7
3.5
34.5
....
21.8

30.2
....
30.2
243.2
231.2
12.0
11.8
....
.3
....
....
5.4
2.4
....
3.7
77.8
....
14.6
2.9
1.6
4.6
29.4
....
24.8

29.9
....
29.9
239.0
227.4
11.7
12.9
....
.7
....
....
2.3
4.0
....
5.8
86.6
....
12.0
3.0
1.7
5.9
30.5
....
33.5

24.6
....
24.6
270.2
254.5
15.7
12.7
....
....
.1
....
2.0
6.3
....
4.3
138.7
....
13.5
5.9
3.4
5.5
73.3
....
37.1

25.6
....
25.6
290.4
269.4
21.0
17.4
....
2.2
.1
....
3.0
7.6
....
4.6
178.0
....
13.7
9.2
5.3
8.5
115.1
....
26.1

488.4
723.1
234.8
593.4
....
129.7
....
....
....
....
....

479.5
744.8
265.3
607.8
....
137.0
....
....
....
....
....

425.7
795.5
369.8
631.8
....
163.7
....
....
....
....
....

403.9
748.5
344.6
570.2
....
178.3
....
....
....
....
....

403.2
698.0
294.8
542.5
....
155.5
....
....
....
....
....

418.8
743.9
325.2
604.1
....
139.8
....
....
....
....
....

332.2
727.1
394.9
642.9
....
84.2
....
....
....
....
....

_______________________________________________________________________________________________________________________________
529
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lesotho

666
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
129.7
....
129.7
....
....
....
....
234.8
196.2
196.2
151.6
44.7
....
....
....
....
....
....
38.5
....
38.5
....
....
....

....
....
....
....
....
137.0
....
137.0
....
....
....
....
265.3
254.8
254.8
197.8
56.9
....
....
....
....
....
....
10.5
....
10.5
....
....
....

....
....
....
....
....
163.7
....
163.7
....
....
....
....
369.8
305.6
305.6
237.2
68.4
....
....
....
....
....
....
64.2
....
64.2
....
....
....

....
....
....
....
....
178.3
....
178.3
....
....
....
....
344.6
336.7
336.7
261.1
75.6
....
....
....
....
....
....
7.9
....
7.9
....
....
....

....
....
....
....
....
155.5
....
155.5
....
....
....
....
294.8
286.6
286.6
224.5
62.1
....
....
....
....
....
....
8.2
....
8.2
....
....
....

....
....
....
....
....
139.8
....
139.8
....
....
....
....
325.2
317.8
317.8
249.0
68.8
....
....
....
....
....
....
7.4
....
7.4
....
....
....

....
....
....
....
....
84.2
....
84.2
....
....
....
....
394.9
386.4
386.4
302.1
84.3
....
....
....
....
....
....
8.5
....
8.5
....
....
....

....
....
....
....
....
....
....
....
....
....
....

474.0
497.2
362.4
134.8
5.9
128.9
23.2
23.1
.1
....
.1

576.3
598.7
458.2
140.5
6.1
134.4
22.4
22.4
....
....
....

695.4
719.6
592.6
127.0
6.3
120.7
24.2
24.1
.1
....
.1

692.9
716.6
594.2
122.4
5.7
116.7
23.7
23.7
.1
....
.1

724.5
747.9
614.8
133.1
5.4
127.7
23.5
23.2
.3
....
.3

666.6
687.2
524.9
162.2
6.0
156.2
20.5
19.9
.7
....
.7

625.6
646.6
465.9
180.7
6.4
174.2
21.0
19.2
1.8
....
1.8

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

14.9
....
....
21.3
21.3
....
21.3
....
6.4
....
....
....
6.4

6.7
....
....
11.0
11.0
....
11.0
....
4.3
....
....
....
4.3

24.2
....
....
32.0
32.0
....
32.0
....
7.9
....
....
....
7.9

18.6
....
....
23.6
23.6
....
23.6
....
4.9
....
....
....
4.9

74.6
....
....
79.6
79.6
....
79.6
....
4.9
....
....
....
4.9

136.2
....
....
155.7
155.7
....
155.7
....
19.5
....
....
....
19.5

184.0
....
....
214.8
214.8
....
214.8
....
30.8
....
....
....
30.8

FINANCIAL ACCOUNT........................................ 30999S N AA

....

102.5

445.8

361.3

325.9

87.6

161.4

98.1

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

71.2
.9
.9
.9
.9
....
....
....
....
....
....
....

56.5
3.3
3.3
3.3
3.3
....
....
....
....
....
....
....

108.4
1.9
.2
.2
.2
....
....
....
1.7
1.7
....
....

113.8
1.8
.2
.2
.2
....
....
....
1.6
1.6
....
....

101.8
1.9
.2
.2
.2
....
....
....
1.7
1.7
....
....

115.9
2.3
.3
.3
.3
....
....
....
2.0
2.0
....
....

136.1
3.9
.3
.3
.3
....
....
....
3.6
3.6
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
530
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lesotho

666
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

70.3
71.1
26.5
26.5
....
....
44.7
.8
.8
....
....

59.9
56.9
....
....
....
....
56.9
3.0
3.0
....
....

106.5
102.8
34.4
34.4
....
....
68.4
3.7
3.7
....
....

111.9
108.4
32.9
32.9
....
....
75.6
3.5
3.5
....
....

99.9
96.3
34.2
34.2
....
....
62.1
3.6
3.6
....
....

113.7
109.3
40.5
40.5
....
....
68.8
4.3
4.3
....
....

132.1
127.5
43.2
43.2
....
....
84.3
4.6
4.6
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.8
.9
....
....
....
....
....
....
.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.3
1.6
....
....
....
....
....
....
1.7
....
....
....
....
....
1.3
1.3
....
....
....
1.3
....
....
....
....
....
....
....

....
.2
.2
....
....
....
.2
....
.4
....
....
....
....
....
.1
....
....
....
....
....
....
.1
....
....
....
....
....

....
.2
.2
....
....
....
.2
....
.3
....
....
....
....
....
.1
....
....
....
....
....
....
.1
....
....
....
....
....

....
.2
.2
....
....
....
.2
....
.3
....
....
....
....
....
.1
....
....
....
....
....
....
.1
....
....
....
....
....

.1
.2
.2
....
....
....
.2
....
.4
....
....
....
....
....
.2
....
....
....
....
....
....
.1
....
....
....
....
....

.1
.2
.2
....
....
....
.2
....
.4
....
....
....
....
....
.2
....
....
....
....
....
....
.1
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

129.2
148.3
....
148.3
....
.1
....
148.2
....
19.1
....
....
19.1
94.2
13.6
62.3
.8
....

311.8
261.8
....
261.8
....
87.8
....
174.0
....
50.0
....
....
50.0
1.5
7.7
41.6
.8
....

202.4
234.2
....
234.2
....
62.2
....
172.0
....
31.8
....
....
31.8
6.7
.3
17.7
7.8
....

171.2
205.1
....
205.1
....
73.4
....
131.8
....
33.9
....
....
33.9
10.8
1.2
14.5
7.4
....

47.6
125.7
....
125.7
....
24.1
....
101.6
....
78.1
....
45.5
32.6
12.7
28.7
8.8
7.7
....

164.3
158.6
....
158.6
....
82.9
....
75.7
....
5.6
....
....
5.6
6.4
26.5
18.1
9.2
....

31.6
24.5
....
24.5
....
86.0
....
61.4
....
7.1
....
....
7.1
9.2
7.3
.8
9.8
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

43.7
....
.1
.1
43.7

190.3
....
.2
....
190.5

267.2
....
6.0
....
261.3

268.4
....
.6
....
269.0

33.5
....
43.2
....
76.6

209.9
....
4.0
....
213.8

69.5
....
1.9
....
67.6

NET ERRORS AND OMISSIONS.........................

....

114.2

347.3

238.9

184.2

112.4

142.7

237.9

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
531
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lesotho

666
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
769.4
970.4 1,336.6 1,295.4 1,626.6 1,666.5
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
196.3
....
196.3
....
196.3
....
....
....
573.1
....
.4
5.1
567.5

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
264.8
....
264.8
....
264.8
....
....
....
705.6
....
.2
5.4
699.9

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
333.9
....
333.9
....
333.9
....
....
....
1,002.8
....
6.3
5.7
990.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
323.9
....
323.9
....
323.9
....
....
....
971.5
....
5.5
5.6
960.4

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
446.8
....
446.8
....
446.8
....
....
....
1,179.8
....
49.0
5.7
1,125.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
590.7
....
590.7
....
590.7
....
....
....
1,075.8
....
52.6
5.6
1,017.6

1,348.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
398.1
....
398.1
....
398.1
....
....
....
950.4
....
54.2
5.5
890.6

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

778.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

777.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

828.8
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

818.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

906.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

935.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

863.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
532
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lesotho

666
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: maloti per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
778.4
....
5.3
773.0
121.9
16.9
634.2
....
....

....
777.8
....
5.6
772.2
114.0
10.5
647.7
....
....

....
828.8
....
5.9
822.9
124.8
10.8
687.3
....
....

....
818.6
....
5.8
812.8
108.9
10.0
693.9
....
....

....
906.9
....
51.5
855.3
116.4
42.1
696.9
....
....

....
935.3
....
50.6
884.6
120.2
17.7
746.6
....
....

....
863.0
....
50.5
812.5
96.8
22.3
693.4
....
....

....

8.9

192.6

507.8

476.8

719.7

731.2

485.6

....

6.325

6.970

6.810

9.305

7.380

6.632

8.143

_______________________________________________________________________________________________________________________________
533
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Liberia

668
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
207.5
368.9
395.1
618.2
541.1
736.9

953.0

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

645.7
2,068.4

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

963.0

1,372.9

1,361.9

1,529.7

1,377.9

1,374.2

1,973.5

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

755.4
....

1,004.1
....

966.8
....

911.5
....

836.8
....

637.3
....

1,020.4
....

B. Capital Account........................................... 20999F B AA

....

....

....

....

1,197.0

1,526.0

1,594.3

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

207.5

....
....

368.9

....
....

395.1

1,197.0
....

1,526.0
....

1,594.3
....

857.4

....
....

953.0

C. Financial Account......................................... 30999F N AA

....

61.1

86.6

113.5

347.9

576.7

446.9

683.9

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

111.0
....
111.0

90.0
....
90.0

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

82.8
3.5
79.3

107.9
7.0
100.8

131.6
7.3
124.3

283.5
11.3
272.3

127.8
2.9
124.9

452.3
....
452.3

1,312.7
30.5
1,282.3

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

3.1
....
3.1

15.5
....
15.5

13.2
....
13.2

33.2
....
33.2

200.4
....
200.4

1.4
....
1.4

626.5
....
626.5

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

18.7
....
18.7

5.7
....
5.7

4.9
....
4.9

13.4
....
13.4

158.5
....
158.5

6.8
....
6.8

2.3
....
2.3

D. Net Errors and Omissions............................. 40999S N AA

....

39.2

E. Reserves and Related Items.......................... 4Z999S N AA

....

185.7

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

2.3
.1
183.4

Conversion rates: Liberian dollar per U.S.


dollar............................................................. RFZ F B

....

57.0958

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

132.3
306.4

2006

154.6
441.1

2007

196.2
498.5

2008

249.0
728.8

2009

180.0
559.0

241.2
719.1

174.1

286.5

302.3

479.8

379.0

477.9

1,422.8

213.2
855.5

336.5
1,274.6

346.2
1,248.8

509.6
1,411.1

274.1
1,145.2

158.0
1,078.6

604.1
1,242.8

816.4

1,224.6

1,204.9

1,381.4

1,250.1

1,398.5

2,061.5

9.2
155.8

18.3
166.7

19.9
176.9

22.4
170.7

18.1
145.9

31.2
7.0

102.1
14.1

146.5

282.2

578.8

984.9

281.6

926.7

1,561.6

1,304.3

269.1

97.7

75.2

565.3

288.6

698.3

21.8

379.9

356.9

361.4

1,273.0

2,002.5

291.0

38.6
.7
342.1

38.8
.7
318.7

27.7
545.0
934.1

28.6
17.7
1,262.1

62.0
791.9
1,272.6

79.6
13.9
197.4

58.0133

61.2722

63.2075

68.2867

71.4033

72.2267

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
534
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Liberia

668
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
183.5
172.8
223.2
354.3
277.2
415.2
755.7
GOODS AND SERVICES..................................... 1Z9999 B XN
....
816.4 1,224.6 1,204.9 1,381.4 1,250.1 1,398.5 2,061.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

345.5
1,161.9
174.1
132.3
132.3
....
....
306.4
306.4
....
642.2
213.2
855.5
....
....
....
....
11.1
....
....

491.1
1,715.7
286.5
154.6
154.5
....
.2
441.1
441.1
....
938.1
336.5
1,274.6
....
....
....
....
15.0
....
....

542.4
1,747.3
302.3
196.2
190.7
....
5.5
498.5
498.5
....
902.6
346.2
1,248.8
....
....
....
....
20.2
....
....

758.6
2,139.9
479.8
249.0
235.7
....
13.3
728.8
728.8
....
901.5
509.6
1,411.1
....
....
....
....
19.2
....
....

454.1
1,704.2
379.0
180.0
165.8
....
14.2
559.0
559.0
....
871.1
274.1
1,145.2
....
....
....
....
14.9
....
....

80.3

114.5

127.2

230.7

28.4
202.4

84.9

22.4
62.5

126.4

102.7

....
67.2
67.2
....
15.7
4.9
10.7
134.9
....
....
....
....
....
2.8
....
132.1
759.5
....
3.5
....
....
....
....
....
756.0

....
124.4
124.4
....
17.3
2.7
14.6
197.1
....
....
....
....
....
3.8
....
193.3
1,142.8
....
4.8
....
....
....
44.8
35.5
1,057.7

....
131.1
131.1
....
20.9
3.3
17.7
194.9
....
....
....
....
....
4.3
....
190.6
1,100.6
....
5.3
....
....
....
42.4
23.1
1,029.9

....
158.0
158.0
....
30.3
3.5
26.9
332.4
....
....
....
....
....
4.5
....
327.8
1,150.1
....
10.7
....
....
....
46.7
26.1
1,066.7

....
123.3
123.3
....
28.7
4.2
24.5
135.9
....
....
....
....
....
4.3
....
131.6
1,031.5
....
3.3
....
....
....
31.1
7.3
1,004.5

....
12.4
12.4
....
63.1
2.4
60.8
123.4
....
....
....
....
....
5.2
....
118.2
889.0
....
2.9
....
....
....
27.9
13.2
845.0

232.5
232.5
....
60.0
4.1
55.9
239.8
....
....
....
....
....
1.2
....
238.6
1,080.1
....
.2
....
....
....
103.4
....
976.5

....
....
....
....
....
....
....
....
....
....
....

146.6
9.2
155.8
9.2
.2
....
....
....
....
....
....

148.3
18.3
166.7
18.3
.2
....
....
....
....
....
....

157.0
19.9
176.9
19.9
.3
....
....
....
....
....
....

148.3
22.4
170.7
22.4
.5
....
....
....
....
....
....

127.8
18.1
145.9
18.1
1.0
....
....
....
....
....
....

24.2
31.2
7.0
31.2
1.1
....
....
....
....
....
....

88.0
102.1
14.1
102.1
.8
....
....
....
....
....
....

11.1
17.4
62.9

15.0

23.7
90.8

20.2

27.3
99.9

19.2

14.9

399.2
1,249.7
1,797.7
3,311.2
477.9 1,422.8
241.2
645.7
221.3
628.4
....
....
19.9
17.3
719.1 2,068.4
719.1
2,068.4
....
....
920.6
638.7
158.0
604.1
1,078.6
1,242.8
....
....
....
....
....
....
....
....
22.2
131.8
....
....
25.9
....

22.2

70.5
55.9

105.8

72.0
4.6
26.1

_______________________________________________________________________________________________________________________________
535
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Liberia

668
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
155.6
7.1
7.1
3.5
3.5
....
....
....
....
....
....
148.6
....
148.6
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
166.4
14.0
14.0
7.0
7.0
....
....
....
....
....
....
152.4
....
152.4
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
176.6
14.7
14.7
7.3
7.3
....
....
....
....
....
....
161.9
....
161.9
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
170.2
22.5
22.5
11.3
11.3
....
....
....
....
....
....
147.7
....
147.7
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
144.9
5.8
5.8
2.9
2.9
....
....
....
....
....
....
139.1
....
139.1
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
5.8
.1
.1
....
....
....
....
....
....
....
....
5.8
....
5.8
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
13.3
11.7
11.7
18.8
30.5
....
....
....
....
....
....
1.6
....
1.6
....
....
....

....
....
....
....
....
....
....
....
....
....
....

779.4
779.4
755.0
24.4
22.6
1.8
....
....
....
....
....

1,200.1
1,200.1
1,137.0
63.1
60.5
2.7
....
....
....
....
....

1,138.8
1,138.8
1,094.1
44.7
42.1
2.6
....
....
....
....
....

1,175.4
1,175.4
1,137.0
38.3
35.7
2.6
....
....
....
....
....

1,100.7
1,100.7
1,091.0
9.7
7.0
2.6
....
....
....
....
....

959.0
959.0
958.8
.2
.2
....
....
....
....
....
....

1,217.8
1,217.8
959.9
257.9
257.9
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

1,197.0
....
....
1,197.0
1,197.0
1,197.0
....
....
....
....
....
....
....

1,526.0
....
....
1,526.0
1,526.0
1,526.0
....
....
....
....
....
....
....

1,594.3
....
....
1,594.3
1,594.3
1,594.3
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

222.7

270.5

298.4

277.4

960.2

1,877.3

777.5

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

82.8
....
....
....
....
....
....
....
....
....
....
....

107.9
....
....
....
....
....
....
....
....
....
....
....

131.6
....
....
....
....
....
....
....
....
....
....
....

394.5
111.0
....
....
....
....
....
....
111.0
....
111.0
....

217.8
90.0
....
....
....
....
....
....
90.0
....
90.0
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

452.3 1,312.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
536
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Liberia

668
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

82.8
3.5
....
....
....
....
3.5
79.3
79.3
....
....

107.9
7.0
....
....
....
....
7.0
100.8
100.8
....
....

131.6
7.3
....
....
....
....
7.3
124.3
124.3
....
....

283.5
11.3
....
....
....
....
11.3
272.3
272.3
....
....

127.8
2.9
....
....
....
....
2.9
124.9
124.9
....
....

452.3
....
....
....
....
....
....
452.3
452.3
....
....

1,312.7
30.5
....
....
....
....
30.5
1,282.3
1,282.3
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

137.6
3.1
....
3.1
3.1
....
....
....
....
140.7
....
....
140.7
.1
....
140.7
....
....

124.1
15.5
....
15.5
15.5
....
....
....
....
139.6
....
....
139.6
.7
....
140.3
....
....

127.9
13.2
....
13.2
13.2
....
....
....
....
141.1
....
....
141.1
.7
....
141.9
....
....

699.6 1,149.4 2,391.6


33.2
200.4
1.4
....
....
....
33.2
200.4
1.4
33.2
200.4
1.4
....
....
....
....
....
....
....
....
....
....
....
....
666.4 1,349.8 2,393.0
....
....
....
....
160.8
....
666.4 1,510.6 2,393.0
545.0
17.7
791.9
1.0
....
....
1,210.4 1,528.3 1,601.1
....
....
....
....
....
....

614.9
626.5
....
626.5
626.5
....
....
....
....
11.7
....
....
11.7
13.9
....
2.3
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

2.3
....
....
....
2.3

38.6
....
....
....
38.6

38.8
....
....
....
38.8

27.7
....
22.4
....
50.1

28.6
....
178.3
....
149.7

62.0
....
12.4
....
74.4

79.6
....
14.0
....
93.7

NET ERRORS AND OMISSIONS.........................

....

39.2

97.7

75.2

565.3

288.6

698.3

21.8

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
537
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Libya

672
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
14,945
22,170
28,510
35,702
9,381
16,801

2,799

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

48,935
24,559

12,986
11,200

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

30
4,435

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

15,579

21,584

28,729

36,742

10,953

18,629

2,118

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

418
1,052

1,646
1,060

598
817

45
1,085

....
1,572

....
1,828

....
681

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

14,945

....
....

22,170

....
....

28,510

....
....

35,702

....
....

9,381

....
....

16,801

....
....

2,799

C. Financial Account......................................... 30999F N AA

....

392

4,731

9,542

21,039

5,525

10,339

1,272

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

128
128
....

474
474
....

3,933
3,933
....

5,888
5,888
....

1,165
1,165
....

2,722
2,722
....

257
257
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,038
163
875

2,064
250
1,814

4,689
4,689
....

4,111
4,111
....

1,371
1,371
....

1,784
1,784
....

200
200
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

393
47
346

5,198
60
5,138

1,440
1,440
....

10,964
10,964
....

3,352
3,352
....

4,396
4,396
....

420
420
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

416
....
416

1,194
....
1,194

8,947
....
8,947

8,280
....
8,280

3,952
....
3,952

4,889
....
4,889

1,472
....
1,472

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

291
....
291

71
....
71

88
....
88

19
....
19

1,573
....
1,573

116
....
116

277
....
277

D. Net Errors and Omissions............................. 40999S N AA

....

1,497

2,008

E. Reserves and Related Items.......................... 4Z999S N AA

....

13,840

19,447

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

13,840
....
....

19,447
....
....

Conversion rates: Libyan dinars per U.S.


dollar............................................................. RFZ F B

....

1.30838

1.31357

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

28,849
11,174

2006

37,473
13,219

2007

46,929
17,701

2008

61,950
21,658

2009

37,055
22,002

17,675

24,254

29,228

40,292

15,053

24,376

534
2,349

489
2,564

109
2,624

208
4,344

385
5,063

410
6,127

1,786

15,860

22,179

26,712

36,155

10,375

18,659

2,619

1,837
2,118

2,180
2,775

4,517
2,500

4,471
3,885

2,461
1,883

2,318
2,348

1,301
800

15,337

17,439

18,968

14,662

3,856

6,462

1,527

1,076

1,715

1,333

2,292

687

20,044

12,948

5,188

4,170

840

20,044
....
....

12,948
....
....

5,188
....
....

4,170
....
....

3,369
....
4,209

1.26264

1.22356

1.25353

1.26679

1.22415

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
538
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Libya

672
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
14,945
22,170
28,510
35,702
9,381
16,801
GOODS AND SERVICES..................................... 1Z9999 B XN
....
15,860
22,179
26,712
36,155
10,375
18,659
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

29,383
13,523
17,675
28,849
28,849
....
....
11,174
11,174
....
1,815
534
2,349
....
....
....
....
116

....
....
....
....
....
....
....
....
....
....
....

49,345
30,686
24,376
48,935
48,935
....
....
24,559
24,559
....
5,717
410
6,127
....
....
....
....
263

1,410
2,619
13,016
15,635
1,786
12,986
12,986
....
....
11,200
11,200
....
4,405
30
4,435
....
....
....
....
27

....
2,070

....
2,340

....
....
1,034

74
....
74
1,277
213
1,065
16
....
5
....
....
11
....
....
....
1,582
531
242
....
....
36
....
....
773

50
....
50
1,587
288
1,299
73
....
63
....
....
10
....
....
....
1,406
32
594
....
....
41
....
....
740

60
....
60
2,047
394
1,653
88
....
76
....
....
12
....
....
....
1,740
165
651
....
....
49
....
....
876

....
....
....
2,269
441
1,828
3
....
....
....
....
3
....
....
....
1,132
41
249
....
....
10
....
....
832

586
4,471
3,885
....
....
4,471
248
236
236
....
12

578
2,461
1,883
....
....
2,461
407
395
395
....
12

30
2,318
2,348
....
....
2,318
596
573
573
....
23

501
1,301
800
....
....
1,301
312
284
284
....
28

37,962
15,783
24,254
37,473
37,473
....
....
13,219
13,219
....
2,075
489
2,564
....
....
....
....
128

47,038
20,326
29,228
46,929
46,929
....
....
17,701
17,701
....
2,516
109
2,624
....
41
....
....
25

....
1,016

....
1,182

....
....
1,263

....
1,485

....
250
241
9
680
25
655
168
....
43
....
....
10
....
....
115
653
149
160
20
....
43
50
10
221

....
190
180
10
668
30
638
171
....
55
....
....
12
....
....
104
714
160
182
16
....
52
52
12
240

....
74
....
74
889
130
759
9
....
....
....
....
9
....
....
....
513
87
190
....
....
31
36
....
169

281
1,837
2,118
8
60
1,829
224
224
224
....
....

595
2,180
2,775
10
65
2,170
320
320
320
....
....

2,017
4,517
2,500
....
....
4,517
175
175
175
....
....

51
65

240
776

54
74

247
935

25

121
1,142

2011

62,158
26,003
40,292
61,950
61,950
....
....
21,658
21,658
....
4,137
208
4,344
....
....
....
....
118

25
93

62
1,397
26

37,440
27,065
15,053
37,055
37,055
....
....
22,002
22,002
....
4,678
385
5,063
....
....
....
....
262

109
153

96
1,958
16

110
153

137
2,186
16

27

34
996
4

_______________________________________________________________________________________________________________________________
539
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Libya

672
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,605
1,605
....
....
....
....
....
....
....
....
....
....
2,058
2,058
2,058
1,895
163
....
....
....
....
....
....
....
....
....
....
....
....

1,850
1,850
....
....
....
....
....
....
....
....
....
....
2,710
2,710
2,710
2,460
250
....
....
....
....
....
....
....
....
....
....
....
....

813
813
....
....
....
3,529
....
3,529
....
....
....
....
2,500
2,500
2,500
740
1,760
....
....
....
....
....
....
....
....
....
....
....
....

664
664
....
....
....
3,560
....
3,560
....
....
....
....
3,885
3,616
3,616
1,808
1,808
....
263
263
....
....
....
6
....
6
....
....
....

1,495
1,495
....
....
....
559
....
559
....
....
....
....
1,883
1,834
1,834
1,410
424
....
50
50
....
....
....
....
....
....
....
....
....

1,161
1,161
....
....
....
561
....
561
....
....
....
....
2,348
2,348
2,348
1,729
619
....
....
....
....
....
....
....
....
....
....
....
....

711
711
....
....
....
278
....
278
....
....
....
....
800
800
800
600
200
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

634
418
18
400
7
393
1,052
130
922
854
68

586
1,646
1,300
346
6
340
1,060
110
950
880
70

219
598
598
....
....
....
817
55
762
762
....

1,040
45
45
....
....
....
1,085
121
964
964
....

1,572
....
....
....
....
....
1,572
211
1,361
1,361
....

1,828
....
....
....
....
....
1,828
219
1,609
1,609
....

3,528
4,209
4,209
....
....
....
681
31
650
650
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

13,448

24,178

29,587

33,987

10,713

14,509

2,096

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

910
128
128
128
128
....
....
....
....
....
....
....

1,590
474
474
474
474
....
....
....
....
....
....
....

756
3,933
3,933
3,933
3,933
....
....
....
....
....
....
....

1,777
5,888
5,888
5,888
5,888
....
....
....
....
....
....
....

206
1,165
1,165
1,165
1,165
....
....
....
....
....
....
....

938
2,722
2,722
2,722
2,722
....
....
....
....
....
....
....

57
257
257
257
257
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
540
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Libya

672
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,038
163
....
....
....
....
163
875
875
....
....

2,064
250
....
....
....
....
250
1,814
1,814
....
....

4,689
4,689
2,929
2,929
....
....
1,760
....
....
....
....

4,111
4,111
2,303
2,303
....
....
1,808
....
....
....
....

1,371
1,371
947
947
....
....
424
....
....
....
....

1,784
1,784
1,165
1,165
....
....
619
....
....
....
....

200
200
....
....
....
....
200
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

393
393
47
....
....
....
47
....
346
....
333
....
13
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5,198
5,198
60
....
....
....
60
....
5,138
....
5,125
....
13
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,440
1,440
1,440
....
172
....
1,268
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

10,964
10,964
10,964
....
500
....
11,464
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,352
3,352
3,352
....
405
3,106
651
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,396
4,396
4,396
....
22
3,723
651
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

420
420
420
....
210
210
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

125
416
....
416
....
328
....
744
....
291
....
....
291
....
224
....
67
....

1,123
1,194
....
1,194
....
291
....
1,485
....
71
....
....
71
....
387
....
316
....

8,859
8,947
....
8,947
....
1,969
8,263
2,653
....
88
....
....
88
4
4
....
88
....

8,299
8,280
....
8,280
....
254
8,753
220
....
19
....
....
19
....
....
....
19
....

2,379
3,952
....
3,952
....
284
3,668
....
....
1,573
....
1,585
12
26
139
....
177
....

5,005
4,889
....
4,889
....
1,219
3,670
....
....
116
....
....
116
26
143
....
1
....

1,749
1,472
....
1,472
....
407
1,065
....
....
277
....
....
277
....
277
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

13,840
....
29
....
13,811

19,447
....
42
....
19,405

20,044
....
54
....
19,990

12,948
....
41
....
12,906

5,188
....
1,593
25
3,621

4,170
....
3
207
4,373

3,369
....
6
84
3,280

NET ERRORS AND OMISSIONS.........................

....

1,497

2,008

1,076

1,715

1,333

2,292

687

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
541
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lithuania

946
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
533.8
. . . . 1,831.2 3,218.1 5,692.4 6,309.6 1,724.9

619.1

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

2,493.4

3,943.0

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

951.3
289.1

B. Capital Account........................................... 20999F B AA

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

1,500.1

5,429.0

2,986.4

C. Financial Account......................................... 30999F N AA

....

2,261.8 4,662.6 6,271.9 4,249.7

2,852.3

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

500.2
205.9
294.3

501.4
107.0
394.4

916.6
655.7
260.9

270.9
399.7
128.8

273.2
95.3
177.9

35.7
88.2
52.6

389.9
100.3
289.5

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,189.0
728.8
460.2

2,052.1
1,754.2
297.9

2,325.3
1,465.7
859.5

1,908.4
1,043.2
865.2

88.5
420.7
509.2

701.8
78.5
623.4

1,443.1
1,029.2
413.9

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

778.5
185.1
593.4

1,105.8
286.4
819.4

838.0
357.0
481.0

101.0
26.5
127.5

1,162.2
425.9
736.2

546.7
537.5
9.1

165.7
298.9
464.7

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

541.6
130.0
411.6

852.1
72.0
780.1

608.8
166.3
775.0

236.0
2.6
238.5

2,293.6
2.2
2,295.7

2,456.7
36.5
2,420.2

1,376.2
8.7
1,367.6

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

12.9
27.4
14.5

11.0
9.5
20.5

2.4
4.8
7.1

14.8
196.0
181.2

38.1
177.7
139.6

89.0
52.2
141.2

5.5
55.1
49.6

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

785.6
....
785.6

475.7
....
475.7

1,561.1
....
1,561.1

634.8
....
634.8

709.0
....
709.0

399.0
....
399.0

681.5
....
681.5

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

2,582.6
....
2,582.6

3,852.4
....
3,852.4

6,656.0
....
6,656.0

3,569.2
....
3,569.2

3,128.3
....
3,128.3

2,912.0
....
2,912.0

535.2
....
535.2

D. Net Errors and Omissions............................. 40999S N AA

....

49.4

289.1

E. Reserves and Related Items.......................... 4Z999S N AA

....

712.3

1,506.7

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

686.8
25.5
....

1,506.7
....
....

1,215.7
....
....

Conversion rates: litai per U.S. dollar............... RFZ F B

....

2.7740

2.7522

2.5237

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

10,900.8
13,791.4

13,147.8
17,360.5

15,783.5
21,836.7

22,462.1
28,938.8

15,420.0
17,003.8

19,652.0
21,799.9

27,029.0
29,523.5

2,890.6

4,212.7

6,053.2

6,476.7

1,583.9

2,147.9

2,494.5

3,028.5
2,004.2

3,604.1
2,517.4

4,200.1
3,388.4

5,881.6
5,068.9

4,112.5
2,983.3

4,563.4
2,811.9

5,607.3
3,628.8

726.5
1,554.5

924.5
2,525.8

1,866.3

3,126.0

5,241.6

5,663.9

448.3
1,075.4

589.9
1,406.9

793.5
2,407.2

6,855.3

1,132.9
2,815.8

7,346.9

821.2
267.4

99.1

1,224.3

2,117.4

1,425.1
700.2

2,071.2
908.3

2,203.4
1,166.1

2,723.6
1,097.8

2,820.7
1,062.6

3,054.2
1,556.0

331.1

351.4

690.1

880.6

1,261.5

985.8

1,052.5

331.2
.1

351.6
.2

690.1
....

880.7
.1

1,261.9
.5

985.8
....

1,052.6
.1

761.7

2,866.7

1,795.9

5,002.3

454.7

134.1

396.4

1,519.6

516.0

433.4

823.7 1,383.9

1,269.7

1,179.3

695.9

1,817.3

53.9

17.9

10.3

3.4

60.8

1,215.7 1,161.4

144.4

699.3

1,878.1

1,161.4
....
....

144.4
....
....

699.3
....
....

1,878.1
....
....

2.3571

2.4840

2.6063

2.4811

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
542
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lithuania

946
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
533.8
. . . . 1,831.2 3,218.1 5,692.4 6,309.6 1,724.9
GOODS AND SERVICES..................................... 1Z9999 B XN
454.7
396.4
. . . . 1,866.3 3,126.0 5,241.6 5,663.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

. . . . 13,929.3 16,751.9 19,983.6 28,343.7 19,532.5 24,215.4


. . . . 15,795.6 19,877.9 25,225.1 34,007.7 19,987.2 24,611.8
. . . . 2,890.6 4,212.7 6,053.2 6,476.7 1,583.9 2,147.9
. . . . 10,900.8 13,147.8 15,783.5 22,462.1 15,420.0 19,652.0
. . . . 10,629.9 12,870.2 15,655.1 22,348.8 15,358.8 19,554.7
....
246.9
234.7
43.2
22.8
19.7
27.6
....
23.9
43.0
85.2
90.6
41.4
69.7
. . . . 13,791.4 17,360.5 21,836.7 28,938.8 17,003.8 21,799.9
. . . . 13,769.1 17,323.5 21,773.8 28,868.8 16,980.6 21,761.7
....
22.3
37.0
62.9
70.0
23.2
38.3
....
1,024.3 1,086.7
811.7
812.7 1,129.2 1,751.6
....
3,028.5
3,604.1
4,200.1
5,881.6
4,112.5
4,563.4
....
2,004.2
2,517.4
3,388.4
5,068.9
2,983.3
2,811.9
....
171.2
215.5
218.3 1,137.3
422.1
471.0
....
50.4
22.6
4.3
869.3
.3
20.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,596.3 1,959.4 2,358.7 2,891.0 2,108.3 2,436.2
54.3
38.5
38.9
67.1
90.6
75.6
....
....
1,181.8
1,476.0
1,801.5
2,073.0
1,441.0
1,692.1
....
360.2
444.9
518.3
750.9
576.7
668.5
....
905.7 1,124.9 1,578.2 1,908.3 1,126.8 1,441.3
12.7
21.8
24.2
36.3
8.7
5.3
....
....
659.7
801.1
1,212.2
1,431.9
786.6
1,082.1
....
233.3
301.9
341.8
440.1
331.5
353.9
....
921.1 1,038.0 1,153.0 1,248.9 1,010.9 1,021.3
....
170.6
277.2
358.1
424.7
309.3
322.5
....
750.5
760.8
795.0
824.3
701.6
698.8
....
744.0
909.1 1,143.5 1,530.8 1,121.9
789.6
....
207.4
266.7
160.5
217.2
141.6
127.0
....
536.6
642.4
983.0
1,313.5
980.3
662.6
....
339.9
391.1
470.1
604.4
571.2
634.9
....
34.0
31.4
67.7
97.1
66.9
84.9
....
.6
10.0
13.0
5.1
.3
1.8
....
16.5
29.3
37.8
54.2
39.6
36.5
....
1.9
.7
.2
.9
.4
.9
....
96.1
91.7
112.7
136.2
133.3
137.6
....
152.0
191.9
203.7
233.3
263.8
300.8
....
10.3
15.7
16.3
18.5
15.8
16.3
....
29.8
40.4
44.6
59.2
51.1
56.1
....
404.9
506.0
671.0
760.6
734.8
601.3
....
13.4
19.5
88.1
64.7
133.6
30.1
....
27.1
44.8
82.0
73.3
27.1
41.3
....
5.9
17.5
22.5
46.4
23.6
16.1
....
20.7
24.4
21.6
34.5
29.1
34.8
....
80.2
88.6
108.2
134.8
132.6
137.2
....
190.0
230.7
236.2
279.6
238.4
217.7
....
2.4
2.4
2.2
8.4
9.9
10.0
....
65.2
78.0
110.3
119.0
140.6
114.1
....
....
....
....
....
....
....
....
....
....
....

627.1
448.3
1,075.4
224.5
45.2
223.9
10.5
4.5
.3
4.3
5.9

817.0 1,613.7 1,683.0


589.9
793.5
1,132.9
1,406.9
2,407.2
2,815.8
248.1
255.7
303.0
51.3
85.4
115.6
341.8
537.8
829.9
42.6
9.5
59.6
4.4
20.2
21.9
1.8
.3
4.3
2.6
20.5
17.6
38.2
29.7
37.7

553.8
821.2
267.4
257.2
187.0
564.0
25.8
51.2
31.0
82.2
25.4

2011
619.1
516.0
32,636.3
33,152.4
2,494.5
27,029.0
26,926.7
4.5
106.8
29,523.5
29,438.6
84.9
1,978.5
5,607.3
3,628.8
356.9
32.9
....
....
3,110.6

63.6
1,991.4
1,055.6

2,134.6

76.1
1,450.8
607.7

1,353.2
431.6
921.6
797.8
122.4
675.4
786.5
121.7
.9
49.3
.7
153.6
388.1
20.9
53.3
729.4
18.5
47.7
19.2
34.3
139.8
337.0
12.2
120.8

827.9 1,601.3
726.5
924.5
1,554.5
2,525.8
378.3
353.4
96.1
111.3
348.2
571.0
21.5
48.5
10.2
31.5
10.3
7.5
.1
24.0
11.2
17.0

_______________________________________________________________________________________________________________________________
543
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lithuania

946
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code
Portfolio investment income......................................... 1CB200 C XA
Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

138.0
.4
....
....
137.6
75.4
....
75.4
....
....
....
....
1,030.2
711.2
695.2
396.0
299.2
16.0
170.1
11.3
....
....
158.8
148.9
....
148.9
....
....
....

187.8
.5
....
....
187.2
111.5
....
111.5
....
....
....
....
1,355.6
877.6
855.9
177.7
678.1
21.8
183.2
12.6
....
....
170.5
294.8
....
294.8
....
....
....

336.1
.6
....
....
335.4
192.2
....
192.2
....
....
....
....
2,321.8
1,423.1
1,345.5
287.4
1,058.1
77.6
217.8
21.6
....
....
196.2
680.9
....
680.9
....
....
....

404.6
.7
....
....
403.9
365.6
....
365.6
....
....
....
....
2,700.2
1,224.7
1,099.2
1,141.7
42.5
125.5
265.6
23.2
....
....
242.4
1,209.9
....
1,209.9
....
....
....

251.0
.6
....
....
250.4
338.8
....
338.8
....
....
....
....
80.3
1,063.7
1,157.4
470.8
1,628.1
93.7
334.4
15.1
....
....
319.4
809.6
....
809.6
....
....
....

76.3
.2
....
....
76.1
250.5
....
250.5
....
....
....
....
1,458.3
511.6
446.3
628.2
181.9
65.2
495.4
12.5
....
....
482.9
451.4
....
451.4
....
....
....

116.0
.2
....
....
115.8
406.5
....
406.5
....
....
....
....
2,414.5
1,313.6
1,250.9
502.6
748.3
62.7
603.8
12.5
....
....
591.3
497.2
....
497.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....

662.2
951.3
405.5
545.8
309.8
235.9
289.1
285.5
3.6
2.2
1.5

724.8
1,425.1
464.0
961.1
745.9
215.1
700.2
323.2
377.0
374.5
2.5

1,162.9
2,071.2
789.1
1,282.1
1,177.0
105.1
908.3
394.0
514.3
481.3
33.0

1,037.3
2,203.4
732.7
1,470.6
1,262.8
207.8
1,166.1
514.4
651.7
536.5
115.2

1,625.8
2,723.6
1,491.8
1,231.8
982.2
249.6
1,097.8
453.1
644.7
492.5
152.2

1,758.1
2,820.7
1,259.0
1,561.7
1,295.3
266.3
1,062.6
366.8
695.7
456.6
239.1

1,498.2
3,054.2
1,278.8
1,775.5
1,603.0
172.5
1,556.0
442.3
1,113.7
916.7
197.0

....
....
....
....
....
....
....
....
....
....
....
....
....

331.1
....
....
331.2
331.2
....
331.2
....
.1
....
....
....
.1

351.4
....
....
351.6
351.1
....
351.1
.5
.2
....
....
....
.2

690.1
....
....
690.1
690.1
....
690.1
....
....
....
....
....
....

880.6
....
....
880.7
880.7
....
880.7
....
.1
....
....
....
.1

1,261.5
....
....
1,261.9
1,260.3
....
1,260.3
1.6
.5
....
....
....
.5

985.8
....
....
985.8
985.8
....
985.8
....
....
....
....
....
....

1,052.5
....
....
1,052.6
1,052.6
....
1,052.6
....
.1
....
....
....
.1

1,523.0

494.2

FINANCIAL ACCOUNT........................................ 30999S N AA

....

1,549.4 3,155.8 5,056.2 5,411.1

2,996.7

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

688.8 1,550.6 1,408.6 1,637.5


500.2
501.4
916.6
270.9
205.9
107.0
655.7
399.7
201.7
104.5
676.1
382.1
201.7
104.5
676.5
382.1
....
....
.4
....
....
....
....
....
4.3
2.6
20.5
17.6
294.3
394.4
260.9
128.8
147.4
192.5
9.3
82.7
146.9
201.9
270.2
211.5
....
....
....
....

184.6
273.2
95.3
177.5
177.5
....
....
82.2
177.9
14.9
192.8
....

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

666.2 1,053.2
35.7
389.9
88.2
100.3
88.3
76.3
88.3
76.3
....
....
....
....
.1
24.0
52.6
289.5
22.9
17.8
75.4
271.8
....
....

_______________________________________________________________________________________________________________________________
544
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lithuania

946
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,189.0
728.8
429.6
432.0
2.4
....
299.2
460.2
447.4
12.8
....

2,052.1
1,754.2
1,076.0
1,076.0
....
....
678.1
297.9
287.9
10.0
....

2,325.3
1,465.7
407.6
407.6
....
....
1,058.1
859.5
821.1
38.4
....

1,908.4
1,043.2
1,085.7
1,085.7
....
....
42.5
865.2
738.3
126.9
....

88.5
420.7
1,207.5
1,207.5
....
....
1,628.1
509.2
629.6
120.4
....

701.8
78.5
260.4
260.4
....
....
181.9
623.4
594.5
28.8
....

1,443.1
1,029.2
280.9
280.9
....
....
748.3
413.9
464.7
50.8
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

236.9
778.5
185.1
1.4
31.6
....
152.1
....
593.4
....
473.7
....
119.7
....
541.6
130.0
....
10.0
....
140.0
....
411.6
....
13.9
401.1
3.4
....

253.7
1,105.8
286.4
....
33.8
....
252.6
....
819.4
....
642.2
....
177.1
....
852.1
72.0
....
34.2
....
37.8
....
780.1
....
59.6
835.1
4.6
....

229.2
838.0
357.0
.1
14.2
....
371.2
....
481.0
....
195.7
....
285.3
....
608.8
166.3
....
115.0
....
51.3
....
775.0
....
202.1
569.4
3.6
....

337.0 1,131.4 1,910.1 1,542.0


101.0 1,162.2
546.7
165.7
26.5
425.9
537.5
298.9
....
....
....
....
1.8
4.3
11.0
226.9
....
....
.3
.1
28.3
430.2
526.8
72.1
....
....
....
....
127.5
736.2
9.1
464.7
....
....
....
....
266.6
397.1
64.4
356.2
....
....
....
3.7
394.1
339.1
55.2
104.7
....
....
....
....
236.0 2,293.6 2,456.7 1,376.2
2.6
2.2
36.5
8.7
....
....
....
....
5.0
1.5
1.1
3.0
....
....
....
....
2.5
.6
37.7
5.6
....
....
....
....
238.5 2,295.7 2,420.2 1,367.6
....
....
....
....
79.7
27.2
76.4
35.0
163.9
2,273.9
2,489.6
1,405.1
5.0
5.3
7.0
2.5
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

12.9
27.4
14.5

11.0
9.5
20.5

2.4
4.8
7.1

89.0
52.2
141.2

5.5
55.1
49.6

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

. . . . 1,771.5 3,376.6 5,094.9 2,934.4 3,837.2 3,311.0


....
785.6
475.7 1,561.1
634.8
709.0
399.0
....
....
....
....
....
....
....
....
785.6
475.7 1,561.1
634.8
709.0
399.0
....
....
....
....
....
....
....
....
394.7
335.3
720.4
122.6
1,234.9
538.0
....
....
....
....
....
147.8
269.9
....
390.9
140.4
840.7
512.2
673.7
667.1
....
....
....
....
....
....
....
....
2,557.0 3,852.4 6,656.0 3,569.2 3,128.3 2,912.0
....
....
....
....
....
....
....
....
....
....
....
....
214.7
....
....
2,557.0 3,852.4 6,656.0 3,569.2 3,342.9 2,912.0
....
20.0
75.3
323.4
399.8
121.3
52.5
....
2,577.3
2,560.0
4,702.7
3,882.6 2,586.3 2,667.5
....
191.0
24.5
120.1
115.0
908.2
472.3
....
190.8
1,241.6
1,750.0
28.7 1,786.3
769.4
....
....
....
....
....
....
....

1,216.8
681.5
....
681.5
190.1
785.4
398.5
484.7
....
535.2
....
....
535.2
211.9
614.5
19.9
152.5
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

686.8
....
....
....
686.8

1,506.7
....
....
....
1,506.7

NET ERRORS AND OMISSIONS.........................

....

49.4

289.1

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

14.8
196.0
181.2

1,215.7 1,161.4
.4
.3
....
....
....
....
1,215.3 1,161.7
53.9

17.9

38.1
177.7
139.6

144.4
.3
214.7
....
70.6

699.3
....
....
....
699.3

1,878.1
.5
....
....
1,877.7

10.3

3.4

60.8

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
545
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lithuania

946
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
9,424.8 13,986.5 20,108.5 18,936.3 21,332.1 21,532.1 21,479.5
Direct investment............................................. 8A9999 A AA
....
1,016.9 1,570.6 2,483.5 2,815.4 3,252.9 3,031.2 3,079.9
Equity and investment fund shares................. 8AA000 A AA
....
490.7
559.3 1,074.3 1,547.4 1,737.2 1,607.1 1,545.5
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

490.7
.1
....
526.2
243.6
282.6
....
1,255.2
220.5
6.0
5.2
....
209.3
....
1,034.8
....
823.6
....
211.1
....
9.6
3,327.5
....
3,327.5
....
1,670.5
....
1,657.0
....
3,815.6
95.3
.1
....
3,720.1

558.8
.5
....
1,011.3
507.3
504.0
....
2,517.2
561.4
6.6
40.9
....
513.9
....
1,955.8
....
1,556.1
....
399.7
....
69.0
4,057.1
....
4,057.1
....
2,124.8
....
1,932.3
....
5,772.6
118.1
.1
.1
5,654.3

1,074.3
....
....
1,409.1
563.9
845.2
....
3,617.0
1,038.6
7.4
29.3
....
1,001.9
....
2,578.4
....
1,926.7
....
651.7
....
222.0
6,064.9
....
6,064.9
....
3,015.1
....
3,049.7
....
7,721.1
155.4
.1
.1
7,565.6

1,547.4
....
....
1,268.1
637.8
630.3
....
3,451.3
833.4
7.1
12.6
....
813.7
....
2,617.9
....
1,493.7
....
1,124.2
....
39.2
6,187.3
....
6,187.3
....
2,999.6
....
3,187.7
....
6,443.0
161.5
.1
.1
6,281.3

1,737.2
....
....
1,515.7
599.8
916.0
....
4,424.1
1,287.0
7.3
4.6
....
1,275.2
....
3,137.1
....
1,796.0
....
1,341.2
....
46.3
6,949.1
....
6,949.1
....
4,278.5
143.6
2,527.0
....
6,659.7
206.4
215.3
.1
6,237.9

1,607.1
....
....
1,424.1
575.1
849.0
....
4,606.7
1,793.7
6.7
15.1
.1
1,771.7
....
2,813.1
....
1,718.1
....
1,095.0
....
149.6
6,907.3
....
6,907.3
....
3,534.8
372.7
2,999.8
....
6,837.3
263.7
211.5
.1
6,362.0

1,545.5
....
....
1,534.4
522.5
1,011.9
....
3,037.6
1,491.4
6.5
30.7
....
1,454.1
....
1,546.2
....
804.6
....
741.7
....
148.6
7,003.6
....
7,003.6
61.1
3,811.9
.1
3,130.6
....
8,209.8
294.5
210.8
.1
7,704.5

. . . . 20,012.9 29,460.7 43,596.0 42,487.1 43,953.1 42,109.4 42,416.1


....
8,506.9 11,525.5 15,974.9 13,774.0 14,684.2 14,575.1 14,986.9
....
7,129.1 9,664.1 12,714.2 9,704.5 9,995.6 9,408.8 9,621.7
....
7,129.1
9,664.1 12,714.2
9,704.5
9,995.6
9,408.8
9,621.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,377.8 1,861.4 3,260.7 4,069.4 4,688.7 5,166.3 5,365.2
....
1,364.7
1,836.7
3,193.0
3,874.4
4,644.9
5,062.7
5,310.9
....
13.1
24.7
67.8
195.0
43.7
103.7
54.3
....
....
....
....
....
....
....
....
....
2,981.6 4,572.3 5,705.0 4,007.3 7,175.9 9,879.0 10,770.7
....
319.5
809.4
743.5
233.2
335.1
493.2
372.7
....
....
....
....
....
....
....
....
....
27.8
205.3
128.3
26.1
36.4
39.3
21.8
....
....
....
....
....
....
....
....
....
291.8
604.0
615.3
207.0
298.7
453.8
350.9
....
....
....
....
....
....
....
....
....
2,662.1 3,762.9 4,961.5 3,774.2 6,840.8 9,385.8 10,398.0
....
....
....
....
....
....
....
....
....
171.8
128.6
342.1
192.4
281.8
180.1
142.8
....
2,490.2
3,628.9
4,609.6
3,567.9
6,550.4
9,194.0 10,245.8
....
.1
5.4
9.9
13.9
8.6
11.7
9.3
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
546
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Lithuania

946
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: litai per U.S. dollar (end


of period)...................................................... AEZ F B

....
....
....
....
....
....
....
....
....
....
....

2005

2006

2007

2008

2009

2010

2011

4.0
30.1
41.0
131.6
156.1
150.9
116.2
8,520.4 13,332.8 21,875.1 24,574.2 21,936.9 17,504.4 16,542.3
....
....
....
....
....
....
....
....
....
....
....
215.1
211.4
210.7
8,520.4 13,332.8 21,875.1 24,574.2 21,721.7 17,293.0 16,331.6
8.9
89.9
455.8
53.7
172.0
220.9
406.7
5,086.9
8,222.5 14,013.2 17,234.7 15,012.3 11,312.6 10,538.5
254.7
256.2
153.1
269.2
1,216.4
1,580.1
1,563.9
3,170.0
4,764.2
7,253.0
7,016.6
5,321.0
4,179.4
3,822.5
....
....
....
....
....
....
....

. . . . 10,588.0 15,474.2 23,487.5 23,550.8 22,621.0 20,577.3 20,936.6


....

2.9102

2.6304

2.3572

2.4507

2.4052

2.6099

2.6694

_______________________________________________________________________________________________________________________________
547
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Luxembourg

137
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
4,406
4,397
5,215
3,040
3,505
4,425

4,199

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

18,807
26,269

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

14,515
18,653

2006

16,343
20,638

2007

18,156
22,974

2008

20,780
27,802

2009

14,874
19,722

16,160
21,696

4,138

4,294

4,818

7,022

4,848

5,536

7,462

40,451
24,233

50,694
29,871

65,103
37,774

68,919
39,145

58,378
33,661

63,940
36,953

71,257
41,581

12,080

16,529

22,510

22,752

19,869

21,452

22,214

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

99,464
106,012

128,706
139,689

167,831
183,114

203,250
220,220

137,260
152,199

142,148
158,354

166,569
183,090

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

4,744
5,871

5,778
6,928

5,994
8,007

7,284
10,026

6,649
8,074

6,663
7,484

7,306
8,799

B. Capital Account........................................... 20999F B AA

....

1,248

366

197

373

408

314

206

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

1,576
329

36
402

58
254

125
499

141
549

120
433

118
324

C. Financial Account......................................... 30999F N AA

....

5,633

4,034

4,969

2,432

2,904

4,311

3,566

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

123,371
111,444
11,927

115,562
88,391
27,171

269,230
231,971
37,259

129,848
88,727
41,121

229,272
121,506
107,766

205,698
179,873
25,825

337,740
297,031
40,709

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

115,151
47,985
67,166

129,879
115,285
14,595

193,765
161,385
32,380

102,113
51,049
51,064

205,084
236,436
31,352

224,584
309,656
85,073

379,205
359,223
19,983

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

267,098
123,620
143,477

176,160
102,723
73,437

174,516 164,735
52,572 85,754
121,944 78,981

239,237
87,470
151,767

126,654
60,169
66,485

37,756
38,823
1,067

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

315,158
275,580
39,577

250,713
220,277
30,436

307,662 126,994
279,314 132,109
28,348
5,116

182,493
143,632
38,860

187,290
204,446
17,156

53,255
32,486
20,769

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

3,190
....
....

9,850
....
....

14,177
....
....

21,730
....
....

14,017
....
....

23,176
....
....

14,687
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

191,871
....
191,871

267,184
....
267,184

249,183
....
249,183

49,105 114,415
....
....
49,105 114,415

166,885
....
166,885

318,013
....
318,013

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

149,588
....
149,588

164,429
....
164,429

172,356
....
172,356

58,397
....
58,397

22,370
....
22,370

59,877
....
59,877

167,283
....
167,283

D. Net Errors and Omissions............................. 40999S N AA

....

69

24

138

64

201

229

257

E. Reserves and Related Items.......................... 4Z999S N AA

....

48

28

89

171

394

29

170

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

48
....
....

28
....
....

89
....
....

171
....
....

394
....
....

29
....
....

170
....
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

5,533

5,654

21

5,546

4,030

7,228

5,018

49

5,782

2,667

235

4,930

3,097

192

5,246

4,111

200

5,692

3,993

427

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
548
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Luxembourg

137
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
4,406
4,397
5,215
3,040
3,505
4,425
GOODS AND SERVICES..................................... 1Z9999 B XN
....
12,080
16,529
22,510
22,752
19,869
21,452
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

54,967
42,886
4,138
14,515
14,012
....
503
18,653
17,592
1,061
16,218
40,451
24,233
33
25
2
12
2,667
....
....
....
1,266
....
....
....
3,612
....
....
2,977
....
....
34,138
286
1,956
24,442
297
3,506
3,137
240
275
19,954
425
1,232
12,678
138
1,838
3,281
332
30

67,037
50,508
4,294
16,343
15,312
....
1,032
20,638
19,581
1,056
20,823
50,694
29,871
8
2
4
12
2,903
....
....
....
1,356
....
....
....
3,636
....
....
3,138
....
....
44,159
339
2,433
32,818
395
3,647
3,869
331
326
25,368
486
1,643
16,831
162
1,996
3,792
428
29

83,259
60,749
4,818
18,156
17,294
....
862
22,974
22,252
722
27,328
65,103
37,774
42
19
3
9
3,476
....
....
....
1,760
....
....
....
4,032
....
....
3,476
....
....
57,549
482
2,576
43,097
399
3,494
6,428
626
446
32,510
637
1,487
21,798
401
1,983
5,553
617
34

89,700
66,948
7,022
20,780
18,692
....
2,089
27,802
25,891
1,911
29,774
68,919
39,145
354
20
42
46
4,170
....
....
....
2,019
....
....
....
4,486
....
....
3,801
....
....
59,866
610
3,171
41,784
342
4,069
8,419
887
584
33,259
776
1,885
20,328
542
2,170
6,701
812
44

73,252
53,383
4,848
14,874
13,250
....
1,624
19,722
18,719
1,003
24,717
58,378
33,661
85
23
192
106
3,143
....
....
....
1,587
....
....
....
4,148
....
....
3,612
....
....
50,810
462
3,206
33,069
378
4,370
7,492
1,278
554
28,333
605
1,828
16,154
467
2,233
5,836
1,163
46

80,100
58,648
5,536
16,160
14,876
....
1,284
21,696
20,727
968
26,988
63,940
36,953
45
21
49
126
3,364
....
....
....
1,688
....
....
....
4,100
....
....
3,515
....
....
56,381
446
3,553
37,669
479
3,401
8,320
2,000
512
31,602
558
2,091
19,090
406
1,684
6,151
1,573
50

4,199
22,214
90,064
67,850
7,462
18,807
17,636
....
1,170
26,269
25,074
1,195
29,676
71,257
41,581
25
22
19
124
3,772
....
....
....
1,986
....
....
....
4,807
....
....
3,796
....
....
62,634
390
3,142
41,743
463
3,389
10,177
2,800
530
35,653
525
1,819
21,416
437
1,805
7,462
2,120
68

....
....
....
....
....
....
....
....
....
....
....

6,548
99,464
106,012
1,258
6,488
98,206
34,361
28,017
25,412
2,605
6,345

10,983
128,706
139,689
1,345
7,302
127,361
37,889
30,406
29,730
676
7,483

15,282
167,831
183,114
1,424
8,963
166,408
48,755
39,855
35,644
4,212
8,900

16,970
203,250
220,220
1,599
10,698
201,651
66,016
54,921
51,860
3,061
11,095

14,939
137,260
152,199
1,614
10,459
135,645
39,504
38,476
43,674
5,198
1,028

16,206
142,148
158,354
1,606
10,232
140,541
43,516
42,656
42,296
361
860

16,521
166,569
183,090
1,736
11,286
164,833
48,894
48,199
48,026
172
696

_______________________________________________________________________________________________________________________________
549
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Luxembourg

137
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

49,081
14,681
....
....
34,400
14,764
....
14,764
....
....
....
....
99,523
39,328
35,461
33,513
1,949
3,867
46,183
43,995
....
....
2,189
14,012
....
14,012
....
....
....

68,329
22,027
....
....
46,301
21,143
....
21,143
....
....
....
....
132,387
43,279
38,738
38,628
110
4,541
64,836
62,813
....
....
2,023
24,272
....
24,272
....
....
....

86,460
26,527
....
....
59,933
31,192
....
31,192
....
....
....
....
174,151
57,837
52,057
48,525
3,532
5,780
82,553
80,040
....
....
2,513
33,760
....
33,760
....
....
....

98,735
34,452
....
....
64,282
36,900
....
36,900
....
....
....
....
209,521
75,367
67,045
61,514
5,531
8,321
96,236
94,152
....
....
2,084
37,919
....
37,919
....
....
....

70,062
19,903
....
....
50,159
26,079
....
26,079
....
....
....
....
141,740
49,367
41,797
43,104
1,308
7,570
83,405
63,131
....
....
20,274
8,968
....
8,968
....
....
....

72,671
23,464
....
....
49,207
24,354
....
24,354
....
....
....
....
148,122
55,483
50,288
45,909
4,379
5,195
84,398
64,482
....
....
19,916
8,241
....
8,241
....
....
....

87,118
29,776
....
....
57,342
28,821
....
28,821
....
....
....
....
171,804
63,550
58,065
51,320
6,745
5,484
98,108
77,033
....
....
21,075
10,146
....
10,146
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,126
4,744
1,991
2,753
4
2,749
5,871
1,864
4,007
68
3,939

1,149
5,778
2,417
3,361
4
3,356
6,928
1,947
4,981
81
4,899

2,013
5,994
2,729
3,265
5
3,260
8,007
2,292
5,715
92
5,623

2,742
7,284
3,412
3,872
3
3,868
10,026
2,845
7,181
108
7,073

1,425
6,649
3,204
3,446
3
3,443
8,074
2,710
5,365
94
5,270

821
6,663
3,099
3,565
3
3,562
7,484
2,753
4,731
92
4,639

1,493
7,306
3,518
3,787
4
3,783
8,799
3,120
5,679
101
5,578

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

1,248
1,522
139
55
38
....
38
16
190
164
....
164
26

366
6
178
30
18
....
18
12
225
184
....
184
41

197
12
32
46
16
....
16
30
222
199
....
199
23

373
91
240
34
15
....
15
19
259
213
....
213
45

408
113
320
28
14
....
14
14
229
207
....
207
22

314
74
202
46
15
....
15
31
232
200
....
200
32

206
86
86
32
17
....
17
16
238
213
....
213
25

FINANCIAL ACCOUNT........................................ 30999S N AA

....

5,585

4,006

4,880

2,603

3,298

4,340

3,737

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

8,220
123,371
111,444
108,839
108,839
....
....
2,605
11,927
11,927
....
....

14,318
115,562
88,391
87,715
87,715
....
....
676
27,171
27,171
....
....

75,465
269,230
231,971
227,760
227,760
....
....
4,212
37,259
37,259
....
....

27,736
129,848
88,727
85,666
85,666
....
....
3,061
41,121
41,121
....
....

24,188
229,272
121,506
126,704
126,704
....
....
5,198
107,766
107,766
....
....

18,885
205,698
179,873
179,512
179,512
....
....
361
25,825
25,825
....
....

41,466
337,740
297,031
296,859
296,859
....
....
172
40,709
40,709
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
550
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Luxembourg

137
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

115,151
47,985
46,036
46,036
....
....
1,949
67,166
67,166
....
....

129,879
115,285
115,174
115,174
....
....
110
14,595
14,595
....
....

193,765
161,385
157,852
157,852
....
....
3,532
32,380
32,380
....
....

102,113
51,049
45,518
45,518
....
....
5,531
51,064
51,064
....
....

205,084
236,436
237,743
237,743
....
....
1,308
31,352
31,352
....
....

224,584
309,656
305,277
305,277
....
....
4,379
85,073
85,073
....
....

379,205
359,223
352,478
352,478
....
....
6,745
19,983
19,983
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

48,060
267,098
123,620
....
192
....
123,812
....
143,477
1,586
15,190
95
126,796
....
315,158
275,580
....
557
....
275,023
....
39,577
....
3,275
2
36,305
....

74,553 133,146 37,742


176,160 174,516 164,735
102,723
52,572 85,754
....
....
....
4,697
1,591
1,471
....
....
....
98,025
50,981 84,283
....
....
....
73,437 121,944 78,981
1,873
72
1,269
27,410
46,021
40,244
155
156
62
43,999
75,695 120,432
....
....
....
250,713 307,662 126,994
220,277 279,314 132,109
....
....
....
13,994
81,906 101,476
....
....
....
206,283 197,408 233,586
....
....
....
30,436
28,348
5,116
....
....
....
4,181
14,078 24,652
319
117
696
26,575
14,388
29,072
....
....
....

56,744
239,237
87,470
....
1,553
855
85,062
....
151,767
688
38,938
29
113,488
....
182,493
143,632
....
385
....
143,247
....
38,860
....
1,250
80
40,031
....

60,635
126,654
60,169
....
380
1
59,788
....
66,485
89
97,772
443
164,611
....
187,290
204,446
....
54,653
....
259,099
....
17,156
....
13,016
1,754
5,894
....

91,010
37,756
38,823
....
856
1
39,680
....
1,067
922
35,484
65
35,563
....
53,255
32,486
....
5,754
....
26,732
....
20,769
....
8,718
73
29,559
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

3,190
....
....

9,850
....
....

14,177
....
....

21,730
....
....

14,017
....
....

23,176
....
....

14,687
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

42,283
191,871
....
191,871
5,755
36,573
1
149,541
....
149,588
....
....
149,588
322
41,383
....
107,883
....

102,756
267,184
....
267,184
3,281
57,181
9
213,276
....
164,429
....
....
164,429
343
43,908
....
120,863
....

76,827
249,183
....
249,183
18,671
118,631
317
111,563
....
172,356
....
....
172,356
454
75,326
1
96,576
....

9,292 92,045
49,105 114,415
....
....
49,105 114,415
30,614
16,199
18,822 147,565
1
6
332
16,945
....
....
58,397 22,370
....
....
....
359
58,397 22,729
1,147
568
14,656 78,187
....
....
71,906
54,890
....
....

107,008
166,885
....
166,885
19,742
7,757
137
139,248
....
59,877
....
....
59,877
104
9,637
....
69,410
....

150,729
318,013
....
318,013
57,813
44,430
91
215,679
....
167,283
....
....
167,283
575
45,400
....
121,308
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

48
....
2
71
21

28
....
1
17
13

89
....
1
16
74

171
1
1
26
145

394
1
359
24
11

29
....
....
21
7

170
....
1
251
81

NET ERRORS AND OMISSIONS.........................

....

69

24

138

64

201

229

257

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
551
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Luxembourg

137
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 3,773,818 4,907,644 6,199,267 5,404,396 6,063,614 6,357,305 6,892,643
Direct investment............................................. 8A9999 A AA
. . . . 896,848 1,093,670 1,467,731 1,616,260 1,894,539 1,998,385 2,731,302
. . . . 780,091 930,071 1,250,437 1,375,234 1,530,662 1,623,695 2,015,673
Equity and investment fund shares................. 8AA000 A AA
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
116,756
....
....
....
1,840,921
807,866
....
10,540
....
797,326
....
1,033,055
4,342
407,226
308
621,179
....
31,077
1,004,693
....
1,004,693
9,306
538,125
155
457,108
....
278
38
16
58
166

....
....
....
163,598
....
....
....
2,432,433
1,149,652
....
16,394
....
1,133,258
....
1,282,781
6,744
473,119
568
802,350
....
26,678
1,354,598
....
1,354,598
7,016
640,400
209
706,973
....
265
47
18
44
156

....
....
....
217,294
....
....
....
2,882,607
1,413,236
....
19,431
....
1,393,805
....
1,469,371
7,576
574,424
717
886,654
....
30,259
1,818,465
....
1,818,465
27,127
810,054
226
981,057
....
206
62
20
30
94

....
....
....
241,026
....
....
....
2,163,607
756,878
....
7,411
6
749,461
....
1,406,729
7,893
592,882
683
805,270
....
93,265
1,530,866
....
1,530,866
58,761
800,150
385
671,569
....
398
63
21
56
258

....
....
....
363,876
....
....
....
2,712,017
1,068,492
....
7,772
1,039
1,059,681
....
1,643,525
7,863
644,510
771
990,380
....
76,906
1,379,342
....
1,379,342
76,852
668,452
424
633,614
....
810
80
381
82
268

....
....
....
374,691
....
....
....
2,879,191
1,225,485
....
4,599
834
1,220,052
....
1,653,706
7,224
519,358
303
1,126,821
....
91,429
1,387,450
....
1,387,450
92,228
636,778
459
657,986
....
849
102
375
102
271

....
....
....
715,629
....
....
....
2,670,504
1,034,931
....
7,222
509
1,027,199
....
1,635,573
7,542
470,218
348
1,157,466
....
90,720
1,399,103
....
1,399,103
143,798
665,304
631
589,370
....
1,014
114
374
344
182

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,728,203
913,244
749,493
....
....
....
163,750
....
....
....
1,944,049
1,698,464
....
187,957
....
1,510,508
....
245,584
....
94,119
....
151,465
....

4,848,905
1,150,660
953,253
....
....
....
197,407
....
....
....
2,530,490
2,233,555
....
231,765
....
2,001,791
....
296,935
....
109,398
....
187,537
....

6,146,570
1,502,080
1,257,612
....
....
....
244,468
....
....
....
3,166,601
2,821,021
....
355,935
....
2,465,086
....
345,579
....
128,233
....
217,346
....

5,341,615
1,569,148
1,221,105
....
....
....
348,042
....
....
....
2,452,589
2,068,461
....
420,927
....
1,647,534
....
384,127
....
92,243
1,233
290,652
....

6,019,544
1,854,172
1,505,686
....
....
....
348,485
....
....
....
3,063,570
2,590,304
....
429,953
....
2,160,350
....
473,266
....
92,359
1,416
379,491
....

6,306,203
1,938,187
1,658,821
....
....
....
279,366
....
....
....
3,267,370
2,834,691
....
357,193
....
2,477,498
....
432,679
....
77,579
3,162
351,938
....

6,833,558
2,653,457
2,093,239
....
....
....
560,218
....
....
....
2,998,369
2,582,397
....
359,689
....
2,222,708
....
415,972
....
67,122
3,128
345,722
....

_______________________________________________________________________________________________________________________________
552
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Luxembourg

137
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....
....
....
....
....
....
....
....
....
....
....

2005

2006

2007

2008

2009

2010

2011

26,095
28,582
41,229
72,068
42,234
73,072
73,537
844,816 1,139,173 1,436,660 1,247,810 1,059,568 1,027,574 1,108,195
....
....
....
....
....
....
....
24
26
27
26
387
380
379
844,792 1,139,147 1,436,633 1,247,784 1,059,182 1,027,194 1,107,816
427
92
557
1,489
2,125
2,083
2,564
486,735 572,958 697,033 656,190 595,666 552,856 578,667
30
60
67
192
208
197
194
357,600 566,037 738,976 589,913 461,182 472,059 526,391
....
....
....
....
....
....
....

....

45,615

58,739

52,697

62,781

44,070

51,102

59,086

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

_______________________________________________________________________________________________________________________________
553
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Macedonia, FYR

962
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
159.3
28.5
605.7 1,235.8
609.6
197.8

310.6

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

3,299.1
5,998.4

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,211.5

1,265.7

1,989.2

2,693.8

2,211.6

2,002.8

2,366.6

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,094.9
42.7

1,279.2
42.1

1,480.9
97.5

1,528.0
70.0

1,668.4
66.4

1,867.1
62.0

2,120.1
64.0

B. Capital Account........................................... 20999F B AA

....

2.0

1.1

4.9

17.6

28.6

16.5

29.3

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
2.0

161.3

....
1.1

29.7

....
4.9

....
17.6

35.8
7.1

34.0
17.5

50.4
21.1

C. Financial Account......................................... 30999F N AA

....

577.6

409.5

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

51.1
2.8
48.3

3.5
.2
3.3

33.3
1.1
34.4

11.2
13.5
24.7

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

145.3
154.7
9.4

427.4
373.4
54.0

733.5
510.4
223.1

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

.8
.1
.7

.5
.1
.5

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

237.8
53.8
184.0

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

1,406.7
2,642.1

2006

1,788.0
3,206.1

2007

2,558.7
4,434.4

2008

2,996.4
5,838.8

2009

1,891.9
4,313.8

2,618.7
4,649.0

1,235.4

1,418.1

1,875.7

2,842.5

2,421.9

2,030.4

2,699.3

692.4
559.4

763.8
583.9

1,059.4
783.6

1,270.9
1,002.5

1,115.6
838.4

1,012.0
853.2

1,488.4
982.3

1,102.4

1,238.2

1,599.8

2,574.0

2,144.7

1,871.5

2,193.2

97.1
206.3

134.7
162.2

213.1
602.4

272.7
392.5

178.1
245.0

194.2
325.6

240.5
413.8

1,253.3

580.9

181.3

281.3

841.9 1,204.2

687.7

258.7

419.9

74.0
11.6
62.4

91.7
1.9
89.8

31.7
.1
31.8

611.7
324.1
287.6

259.5
56.9
202.6

300.7
201.8
98.9

495.1
571.5
76.4

2.8
2.3
.5

1.1
.4
.7

51.3
29.2
22.1

29.0
18.5
10.5

10.7
14.4
3.7

92.8
86.3
6.5

157.9
169.8
11.9

71.4
49.4
22.0

198.5
14.0
212.5

45.5
4.0
41.5

47.5
8.1
39.3

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

47.0
....
47.0

148.6
....
148.6

80.9
....
80.9

297.7
....
297.7

144.6
....
144.6

206.0
....
206.0

575.5
....
575.5

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

291.9
....
291.9

41.9
....
41.9

67.4
....
67.4

378.4
....
378.4

499.6
....
499.6

330.2
....
330.2

590.2
....
590.2

D. Net Errors and Omissions............................. 40999S N AA

....

5.8

E. Reserves and Related Items.......................... 4Z999S N AA

....

410.6

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

415.3
4.7
....

Conversion rates: denars per U.S. dollar.......... RFZ F B

....

49.284

416.3

379.9

600.8

241.0

49.1

106.7

77.4

138.6

3.8

51.8

30.8

40.2

.7

5.8

383.7

189.2

80.0

146.9

78.1

132.8

374.1
9.6
....

133.1
56.1
....

80.0
....
....

146.9
....
....

78.1
....
....

444.1
311.3
....

48.802

44.730

41.868

44.101

46.485

44.231

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
554
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Macedonia, FYR

962
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
159.3
28.5
605.7 1,235.8
609.6
197.8
310.6
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,102.4 1,238.2 1,599.8 2,574.0 2,144.7 1,871.5 2,193.2
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
2,099.2
2,551.8
3,618.2
4,267.3
3,007.5
3,630.7
4,787.5
....
3,201.5
3,790.0
5,218.0
6,841.3
5,152.2
5,502.2
6,980.8
. . . . 1,235.4 1,418.1 1,875.7 2,842.5 2,421.9 2,030.4 2,699.3
....
1,406.7 1,788.0 2,558.7 2,996.4 1,891.9 2,618.7 3,299.1
....
1,389.2
1,776.7
2,551.6
2,977.5
1,880.3
2,573.5
3,229.9
....
17.5
11.2
7.2
18.9
11.6
45.2
69.2
....
....
....
....
....
....
....
....
....
2,642.1 3,206.1 4,434.4 5,838.8 4,313.8 4,649.0 5,998.4
....
2,642.1
3,206.1
4,434.4
5,838.8
4,313.8
4,649.0
5,998.4
....
....
....
....
....
....
.1
....
....
133.0
179.9
275.9
268.4
277.2
158.9
506.1
....
692.4
763.8
1,059.4
1,270.9
1,115.6
1,012.0
1,488.4
....
559.4
583.9
783.6
1,002.5
838.4
853.2
982.3
....
191.2
170.3
243.0
270.5
264.4
155.7
433.6
....
.4
.3
1.0
.3
.2
1.2
4.0
....
2.1
1.3
1.3
1.9
1.2
1.1
1.7
....
3.8
2.4
.9
1.3
.7
1.4
1.3
....
161.3
187.7
254.6
329.1
253.9
290.4
383.1
27.2
27.4
32.6
34.3
13.7
12.4
10.9
....
....
93.9
115.8
167.8
236.3
192.7
236.0
324.1
....
40.1
44.5
54.3
58.6
47.5
42.1
48.1
....
219.1
229.7
313.5
398.5
307.1
318.4
388.9
34.8
38.6
44.7
54.5
49.7
49.0
54.4
....
....
138.5
141.0
191.2
238.8
179.0
175.8
217.6
....
45.9
50.1
77.6
105.2
78.4
93.5
116.9
....
89.5
129.2
185.8
228.5
217.8
197.3
239.4
....
....
....
....
....
....
....
....
....
89.5
129.2
185.8
228.5
217.8
197.3
239.4
....
61.9
70.7
101.6
136.3
100.2
91.9
112.0
....
20.3
20.8
24.2
29.0
21.2
19.9
21.3
....
41.6
50.0
77.4
107.4
79.0
71.9
90.7
....
248.4
275.4
374.7
440.9
378.4
367.5
430.6
....
59.4
48.5
75.9
64.3
44.8
18.2
29.5
....
4.9
5.9
5.7
7.7
8.8
6.8
10.7
....
4.6
7.4
12.5
11.0
3.0
3.6
3.5
....
3.1
2.7
4.6
5.8
6.2
6.9
10.0
....
60.6
83.2
101.4
128.4
121.1
127.2
146.5
....
82.4
97.9
139.0
185.8
157.3
169.3
190.7
....
7.1
10.1
16.6
18.1
19.9
21.0
27.3
....
26.3
19.9
18.9
19.8
17.4
14.5
12.4
....
274.9
280.8
368.5
466.6
430.2
442.7
484.1
....
8.9
2.8
2.3
11.9
12.8
9.6
10.3
....
16.3
20.9
22.1
25.8
21.3
27.1
25.7
....
11.3
11.5
6.3
7.5
21.1
21.4
18.1
....
10.4
8.7
19.3
24.9
20.2
17.8
24.6
....
44.7
67.4
72.6
109.5
114.8
101.3
88.5
....
154.9
134.0
197.8
231.4
184.1
207.0
254.5
....
6.3
7.7
9.8
16.4
22.0
22.0
25.9
....
22.1
27.9
38.3
39.1
34.0
36.5
36.7
....
....
....
....
....
....
....
....
....
....
....

109.2
97.1
206.3
57.2
1.5
39.9
.6
.6
.6
....
....

27.5
134.7
162.2
68.9
2.2
65.8
.5
.5
.5
....
....

389.3
213.1
602.4
105.8
2.5
107.3
2.5
2.5
2.5
....
....

119.8
272.7
392.5
140.5
4.8
132.2
3.5
3.5
3.5
....
....

66.9
178.1
245.0
121.0
4.0
57.1
2.4
2.4
2.4
....
....

131.4
194.2
325.6
128.1
3.4
66.1
7.0
2.1
2.1
....
4.9

173.4
240.5
413.8
162.4
3.6
78.1
7.8
2.5
2.5
....
5.3

_______________________________________________________________________________________________________________________________
555
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Macedonia, FYR

962
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1.1
....
....
....
1.1
38.2
....
38.2
....
....
....
....
204.7
141.8
141.8
86.0
55.9
....
4.5
3.8
....
....
.7
58.4
....
58.4
....
....
....

3.0
....
....
....
3.0
62.3
....
62.3
....
....
....
....
160.0
58.6
58.6
39.2
19.5
....
20.9
10.9
....
....
10.0
80.4
....
80.4
....
....
....

13.0
....
....
....
13.0
91.8
....
91.8
....
....
....
....
599.9
469.5
469.5
218.5
251.1
....
9.0
....
....
....
9.0
121.4
....
121.4
....
....
....

77.1
....
....
....
77.1
51.7
....
51.7
....
....
....
....
387.7
253.4
253.4
229.1
24.4
....
9.4
....
....
....
9.4
124.9
....
124.9
....
....
....

45.9
....
....
....
45.9
8.8
....
8.8
....
....
....
....
241.0
138.4
138.4
296.4
158.0
....
8.6
....
....
....
8.6
94.0
....
94.0
....
....
....

51.7
....
....
....
51.7
7.4
....
7.4
....
....
....
....
322.2
231.8
192.3
156.7
35.6
39.5
32.8
....
....
....
32.8
57.6
....
57.6
....
....
....

59.4
.2
....
....
59.2
10.9
....
10.9
....
....
....
....
410.2
276.2
227.7
169.7
58.0
48.5
34.8
.2
....
....
34.6
99.2
....
99.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,052.2
1,094.9
75.0
1,019.9
169.4
850.6
42.7
9.5
33.2
14.0
19.2

1,237.1
1,279.2
83.3
1,195.9
197.6
998.3
42.1
9.4
32.7
15.6
17.0

1,383.4
1,480.9
84.0
1,396.9
239.2
1,157.7
97.5
53.1
44.4
22.3
22.0

1,458.0
1,528.0
93.8
1,434.2
266.1
1,168.1
70.0
19.2
50.8
28.2
22.6

1,602.0
1,668.4
58.6
1,609.8
260.1
1,349.6
66.4
8.2
58.2
22.3
35.9

1,805.1
1,867.1
45.5
1,821.5
259.9
1,561.7
62.0
5.3
56.7
19.3
37.4

2,056.0
2,120.1
110.6
2,009.5
271.3
1,738.1
64.0
6.5
57.5
20.7
36.8

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

2.0
....
....
....
....
....
....
....
2.0
....
....
....
2.0

1.1
....
....
....
....
....
....
....
1.1
....
....
....
1.1

4.9
....
3.3
....
....
....
....
....
1.6
....
....
....
1.6

17.6
....
16.3
....
....
....
....
....
1.3
....
....
....
1.3

28.6
....
10.8
35.8
....
....
....
35.8
17.9
....
....
....
17.9

16.5
....
....
34.0
.1
....
.1
33.9
17.5
....
....
....
17.5

29.3
....
....
50.4
.5
....
.5
49.9
21.1
....
....
....
21.1

FINANCIAL ACCOUNT........................................ 30999S N AA

....

167.1

25.8

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

94.2
51.1
2.8
2.8
2.8
....
....
....
48.3
....
48.3
....

424.0
3.5
.2
.2
.2
....
....
....
3.3
....
3.3
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

652.7 1,284.2

540.7

180.6

287.1

700.2
33.3
1.1
1.1
1.1
....
....
....
34.4
....
34.4
....

185.5
74.0
11.6
11.6
11.6
....
....
....
62.4
....
62.4
....

209.1
91.7
1.9
1.9
1.9
....
....
....
89.8
....
89.8
....

463.4
31.7
.1
.1
.1
....
....
....
31.8
....
31.8
....

600.5
11.2
13.5
13.5
13.5
....
....
....
24.7
....
24.7
....

_______________________________________________________________________________________________________________________________
556
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Macedonia, FYR

962
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

145.3
154.7
98.9
98.9
....
....
55.9
9.4
9.4
....
....

427.4
373.4
353.9
353.9
....
....
19.5
54.0
54.0
....
....

733.5
510.4
259.3
259.3
....
....
251.1
223.1
223.1
....
....

611.7
324.1
299.7
299.7
....
....
24.4
287.6
287.6
....
....

259.5
56.9
214.9
214.9
....
....
158.0
202.6
202.6
....
....

300.7
201.8
166.3
166.3
....
....
35.6
98.9
98.9
....
....

495.1
571.5
513.5
513.5
....
....
58.0
76.4
76.4
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

238.6
.8
.1
....
....
....
.1
....
.7
....
.7
....
....
....
237.8
53.8
....
....
....
53.8
....
184.0
....
....
184.0
....
....

92.4
.5
.1
....
....
....
.1
....
.5
....
.5
....
....
....
92.8
86.3
....
32.9
....
53.4
....
6.5
....
....
6.5
....
....

155.2
2.8
2.3
....
....
....
2.3
....
.5
....
.4
....
....
....
157.9
169.8
....
88.7
....
81.1
....
11.9
....
....
11.9
....
....

72.5
1.1
.4
....
....
....
.4
....
.7
....
.1
....
.8
....
71.4
49.4
....
19.6
....
29.7
....
22.0
....
....
22.0
....
....

147.2
51.3
29.2
....
....
....
29.2
....
22.1
....
3.9
....
18.2
....
198.5
14.0
....
4.9
....
9.1
....
212.5
....
....
212.5
....
....

74.5
29.0
18.5
....
....
....
18.5
....
10.5
....
....
....
10.5
....
45.5
4.0
....
.1
....
4.1
....
41.5
....
....
41.5
....
....

58.2
10.7
14.4
....
....
....
14.4
....
3.7
....
....
....
3.7
....
47.5
8.1
....
3.7
....
4.4
....
39.3
....
....
39.3
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

249.5
47.0
....
47.0
.8
7.8
....
55.6
....
296.6
....
....
296.6
4.7
82.6
44.3
165.0
....

116.4
148.6
....
148.6
3.3
66.4
....
78.9
....
32.2
....
....
32.2
9.6
104.2
157.7
95.3
....

69.6
80.9
....
80.9
.2
5.7
....
86.3
....
11.3
....
....
11.3
56.1
169.2
155.1
53.4
....

676.2
297.7
....
297.7
24.2
334.4
....
60.9
....
378.4
....
....
378.4
....
7.5
49.0
337.0
....

355.0
144.6
....
144.6
.1
131.0
....
13.7
....
499.6
....
89.4
410.2
....
121.9
10.8
277.4
....

124.2
206.0
....
206.0
.8
90.2
....
116.6
....
330.2
....
....
330.2
....
135.1
51.2
143.9
....

325.9
575.5
....
575.5
336.5
50.8
....
188.2
....
901.5
....
....
901.5
335.9
18.7
527.5
56.7
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

415.3
....
.1
....
415.1

374.1
....
2.1
....
372.0

133.1
....
1.6
....
134.7

80.0
....
....
....
79.9

146.9
....
89.3
....
57.6

78.1
....
87.5
....
165.6

444.1
2.1
.5
....
442.4

NET ERRORS AND OMISSIONS.........................

....

5.8

3.8

51.8

30.8

40.2

.7

5.8

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
557
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Macedonia, FYR

962
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
2,550.3 3,379.1 4,112.3 3,637.0 3,993.9 4,337.3
Direct investment............................................. 8A9999 A AA
....
156.7
162.3
232.4
256.9
350.1
453.1
Equity and investment fund shares................. 8AA000 A AA
....
43.6
36.4
51.6
69.0
71.1
77.4
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011
5,308.1
495.2
76.5
76.5
....
....
418.7
50.6
368.2
....
58.9
58.9
.8
4.6
....
53.5
....
....
....
....
....
....
....
....
2,077.0
....
2,077.0
301.6
780.3
60.6
934.6
....
2,676.9
345.5
.8
....
2,330.7

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

43.6
....
....
113.1
25.2
87.9
....
3.6
3.6
....
2.9
....
.7
....
....
....
....
....
....
....
....
1,065.3
....
1,065.3
15.5
750.1
....
299.6
....
1,324.7
112.0
.8
....
1,212.0

36.4
....
....
125.9
19.3
106.6
....
4.2
4.2
....
3.4
....
.8
....
....
....
....
....
....
....
....
1,346.9
....
1,346.9
23.6
880.1
....
443.2
....
1,865.7
138.8
3.0
....
1,724.0

51.6
....
....
180.9
25.0
155.9
....
5.5
5.5
....
4.7
....
.8
....
....
....
....
....
....
....
....
1,634.7
....
1,634.7
25.3
952.1
....
657.4
....
2,239.6
182.6
1.5
....
2,055.6

69.0
....
....
187.9
27.3
160.7
....
5.4
5.4
....
4.4
....
1.0
....
....
....
....
....
....
....
....
1,267.1
....
1,267.1
1.6
550.7
....
714.8
....
2,107.6
188.8
1.4
....
1,917.4

71.1
....
....
279.0
35.3
243.7
....
8.4
8.4
....
4.4
....
4.0
....
....
....
....
....
....
....
....
1,344.9
....
1,344.9
1.4
712.3
....
631.2
....
2,290.5
241.0
91.1
....
1,958.5

77.4
....
....
375.7
47.9
327.9
....
34.4
26.5
.8
3.9
....
21.7
....
7.9
....
....
....
7.9
....
....
1,572.9
....
1,572.9
.1
760.7
60.6
751.5
....
2,276.9
307.8
1.2
....
1,967.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,910.8
2,181.5
1,863.5
1,863.5
....
....
318.0
311.3
6.7
....
273.9
52.8
....
29.5
....
23.2
....
221.2
....
....
221.2
....
....

5,877.5
2,887.7
2,454.0
2,454.0
....
....
433.7
416.4
17.3
....
364.7
114.0
....
106.2
....
7.8
....
250.7
....
....
250.7
....
....

7,640.2
3,904.2
3,271.3
3,271.3
....
....
632.9
623.9
9.0
....
445.2
194.8
....
90.9
....
103.9
....
250.5
....
....
250.5
....
....

8,240.1
4,356.4
3,394.0
3,394.0
....
....
962.5
952.0
10.4
....
373.5
187.9
....
99.7
....
88.2
....
185.6
....
....
185.6
....
....

9,173.5
4,758.5
3,557.6
3,557.6
....
....
1,200.9
1,190.2
10.7
....
590.7
195.6
....
107.1
....
88.4
....
395.1
....
....
395.1
....
....

9,077.0 10,393.9
4,686.1 5,109.2
3,439.6 3,965.3
3,439.6
3,965.3
....
....
....
....
1,246.5 1,144.0
1,230.6
1,124.9
15.9
19.1
....
....
528.5
420.1
185.5
158.2
....
....
108.3
91.6
....
....
77.2
66.6
....
....
343.0
262.0
....
....
....
....
343.0
262.0
....
....
....
....

_______________________________________________________________________________________________________________________________
558
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Macedonia, FYR

962

Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011


(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: denars per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
2,455.4
....
12.0
2,443.4
74.1
226.5
1,292.2
850.6
....

....
2,625.0
....
12.6
2,612.4
68.3
355.4
1,152.6
1,036.1
....

....
3,290.7
....
13.2
3,277.5
....
569.8
1,068.4
1,639.2
....

....
3,510.2
....
12.9
3,497.3
....
541.5
1,092.2
1,863.6
....

....
3,824.3
....
102.9
3,721.4
....
671.3
1,118.8
1,931.3
....

....
3,862.5
....
101.1
3,761.4
....
768.6
1,135.6
1,857.2
....

....
4,864.5
....
100.7
4,763.8
300.9
730.7
1,632.6
2,099.6
....

....
....

2,360.5 2,498.3 3,527.9 4,603.2 5,179.6 4,739.8 5,085.8


51.859

46.450

41.656

43.561

42.665

46.314

47.535

_______________________________________________________________________________________________________________________________
559
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Madagascar

674
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
626
....
....
....
....
....

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

352
1,024

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

578
615

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

24
104

790

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

208
45

....
....

....
....

....
....

....
....

....
....

....
....

B. Capital Account........................................... 20999F B AA

....

192

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

192
....

435

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

C. Financial Account......................................... 30999F N AA

....

....

....

....

....

....

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

85
85
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

11
....
11

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

102
....
102

440

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

91

....

....

....

....

....

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

349

....

....

....

....

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

10
5
354

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Conversion rates: Malagasy ariary per U.S.


dollar............................................................. RFZ F B

....

2,003.0

2,142.3

1,873.9

1,708.4

1,956.2

2,090.0

2,025.1

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

672

710

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
560
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Madagascar

674
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
554
....
....
....
....
....
GOODS AND SERVICES..................................... 1Z9999 B XN
....
710
....
....
....
....
....
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

183
....
183
74
....
73
196
2
....
....
2
2
111
....
78
318
2
5
....
9
7
143
....
153

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

80
24
104
10
13
14
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

930
1,640
672
352
352
....
....
1,024
1,024
....
37
578
615
80
....
....
....
118

....
....
....
....
....
....
....
....
....
....
....

107
9
3

224

6
214
4

_______________________________________________________________________________________________________________________________
561
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Madagascar

674
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
14
....
14
....
....
....
....
90
38
38
38
....
....
....
....
....
....
....
52
....
52
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

236
281
72
208
1
207
45
14
31
8
23

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

192
....
....
192
192
....
192
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

271

....

....

....

....

....

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

85
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
562
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Madagascar

674
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

85
85
85
85
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

196
11
....
11
....
11
....
....
....
184
....
....
184
5
14
200
7
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

10
....
....
....
10

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

91

....

....

....

....

....

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
563
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malawi

676
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
506.7
306.6
411.6
702.7
553.4
905.2

764.7

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

541.4
1,150.0

721.0
1,160.7

803.2
1,385.3

950.1
1,818.6

1,268.4
2,008.4

740.0

1,148.6

1,530.9
2,629.6

1,098.7

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

67.3
159.4

64.5
159.3

74.0
152.6

74.4
197.6

79.1
239.0

81.4
212.5

82.3
224.4

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

780.7

607.4

733.4

1,139.8

1,022.0

1,469.7

1,339.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

285.5
11.5

315.1
14.2

326.0
4.1

443.2
6.1

476.8
8.2

575.2
10.6

588.4
14.0

B. Capital Account........................................... 20999F B AA

....

363.1

312.6

189.7

438.7

408.7

602.7

456.8

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

363.3
.1

143.6

312.7
.1

6.0

189.8
.1

221.9

438.9
.1

263.9

408.8
.1

144.8

602.9
.1

302.4

457.0
.1

307.9

C. Financial Account......................................... 30999F N AA

....

208.0

55.3

233.8

331.2

92.0

204.9

270.5

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

3.0
.7
2.3

5.9
.9
5.0

13.6
1.5
12.2

18.6
2.0
16.6

1.3
2.6
3.9

42.3
.3
42.0

9.6
1.2
8.4

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

139.7
88.2
51.5

35.6
44.7
80.3

124.4
20.5
144.9

195.4
145.9
49.5

49.1
69.2
20.0

97.0
132.8
35.8

92.4
52.6
39.8

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

.1
.1
....

.1
.1
....

.1
.1
....

.1
.1
....

.1
.1
....

.1
.1
....

.1
.1
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

3.9
3.9
....

2.5
2.5
....

1.7
1.7
....

1.5
1.5
....

.3
.3
....

1.0
1.0
....

1.0
1.0
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

32.8
....
32.8

29.5
....
29.5

19.5
....
19.5

38.0
....
38.0

39.3
....
39.3

33.4
....
33.4

29.4
....
29.4

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

42.5
....
42.5

64.4

57.7
....
57.7

61.4

105.3
....
105.3

117.8
....
117.8

81.2
....
81.2

182.7
....
182.7

218.2
....
218.2

D. Net Errors and Omissions............................. 40999S N AA

....

23.5

27.4

96.2

E. Reserves and Related Items.......................... 4Z999S N AA

....

40.9

33.9

108.0

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

30.9
10.1
....

25.1
59.1
....

Conversion rates: Malawi kwacha per U.S.


dollar............................................................. RFZ F B

....

118.420

136.014

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

608.6

2006

439.6

2007

582.1

2008

868.5

2009

1,139.2
2,287.8

700.6

534.4

660.7

991.7

899.9

1,279.6

1,240.8

.6
80.6

7.2
80.3

1.6
74.3

1.7
149.8

.4
122.5

1.3
191.4

1.8
100.0

11.9

67.3

52.7

97.5

37.3

156.9

54.2

211.6

70.6

89.7

106.9

114.1

108.0

118.1
10.1
....

6.0
95.7
....

106.9
....
....

135.4
21.3
....

108.7
.8
....

139.957

140.523

141.167

150.487

156.515

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
564
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malawi

676
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
506.7
306.6
411.6
702.7
553.4
905.2
764.7
GOODS AND SERVICES..................................... 1Z9999 B XN
....
700.6
534.4
660.7
991.7
899.9 1,279.6 1,240.8
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

608.7
1,309.3
608.6
541.4
541.4
....
....
1,150.0
1,150.0
....
92.0
67.3
159.4
....
....
....
....
29.9

29.9
7.3
6.2

29.9
7.3
6.9

21.8
8.7
7.1

....
....
....
....
....
....
....
....
....
....
....

80.0
.6
80.6
.2
6.9
.4
....
....
....
....
....

73.1
7.2
80.3
.2
6.9
7.0
....
....
....
....
....

72.7
1.6
74.3
.2
6.9
1.4
....
....
....
....
....

19.2
7.6
3.1

43.4

29.2
18.3
11.0
53.9
36.2
17.8
8.2
.8
.2
....
....
2.0
2.6
.3
2.4
62.1
....
5.0
....
.4
7.4
20.9
9.3
19.0

785.5
1,319.9
439.6
721.0
721.0
....
....
1,160.7
1,160.7
....
94.7
64.5
159.3
....
....
....
....
30.8

19.1
8.2
3.5

44.1

25.5
16.0
9.6
54.7
36.8
17.9
8.2
.8
.2
....
....
2.0
2.6
.3
2.4
60.4
....
5.0
....
.4
7.4
20.9
9.3
17.4

877.2
1,538.0
582.1
803.2
803.2
....
....
1,385.3
1,385.3
....
78.6
74.0
152.6
....
....
....
....
30.3

14.0
12.0
4.3

37.6

28.9
16.9
12.1
57.0
38.0
19.0
14.8
1.1
.2
....
....
4.6
4.6
.3
4.1
58.0
....
7.5
....
.4
7.7
20.9
9.5
12.0

1,024.5
2,016.3
868.5
950.1
950.1
....
....
1,818.6
1,818.6
....
123.2
74.4
197.6
....
....
....
....
26.4

12.1
9.4
4.9

1,347.5
1,220.7
1,613.2
2,247.3
2,500.3
2,854.0
740.0 1,148.6 1,098.7
1,268.4 1,139.2 1,530.9
1,268.4
1,139.2
1,530.9
....
....
....
....
....
....
2,008.4 2,287.8 2,629.6
2,008.4
2,287.8
2,629.6
....
....
....
159.9
131.1
142.1
79.1
81.4
82.3
239.0
212.5
224.4
....
....
....
....
....
....
....
....
....
....
....
....
29.1
29.9
27.1

13.0
10.1
6.0

11.6
12.0
6.3

8.9
11.4
6.7

34.6
18.8
7.6

37.4
40.0
8.4

29.1
23.7
8.5

30.2
40.2
8.8

148.1
1.7
149.8
.3
6.0
1.4
....
....
....
....
....

122.2
.4
122.5
.5
7.2
.2
.4
.4
....
.4
....

190.1
1.3
191.4
.8
7.0
.5
.3
.3
....
.3
....

98.2
1.8
100.0
1.3
6.9
.5
.1
.1
....
.1
....

61.0

30.6
18.1
12.4
60.7
40.0
20.6
17.5
1.5
3.4
....
....
5.1
4.4
.3
2.8
76.0
....
6.3
....
.4
8.8
25.1
9.5
26.0

85.8

33.0
19.4
13.7
63.3
42.1
21.2
17.0
.7
.2
....
....
6.1
5.3
.5
4.2
89.9
....
9.2
....
.4
8.4
31.5
9.5
30.7

61.4

33.1
19.4
13.7
63.8
41.5
22.2
18.5
....
.3
....
....
6.7
5.6
.6
5.3
87.4
....
8.3
....
.4
8.5
25.3
9.6
35.3

79.2

33.9
19.8
14.0
65.8
41.9
23.9
21.4
....
.4
....
....
7.3
6.0
.8
6.8
79.4
....
10.0
....
.4
8.5
25.6
9.7
25.1

_______________________________________________________________________________________________________________________________
565
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malawi

676
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
.4
....
.4
....
....
....
....
73.7
51.6
43.4
24.9
18.5
8.2
....
....
....
....
....
22.1
....
22.1
....
....
....

....
....
....
....
....
7.0
....
7.0
....
....
....
....
73.4
56.5
47.2
23.6
23.6
9.4
....
....
....
....
....
16.8
....
16.8
....
....
....

....
....
....
....
....
1.4
....
1.4
....
....
....
....
67.4
67.1
56.1
22.4
33.7
11.0
....
....
....
....
....
.4
....
.4
....
....
....

....
....
....
....
....
1.4
....
1.4
....
....
....
....
143.8
138.9
125.8
21.2
104.6
13.1
....
....
....
....
....
4.9
....
4.9
....
....
....

....
....
....
....
....
.2
....
.2
....
....
....
....
115.4
102.8
87.7
20.1
67.6
15.1
....
....
....
....
....
12.6
....
12.6
....
....
....

....
....
....
....
....
.1
....
.1
....
....
....
....
184.4
173.2
155.6
19.0
136.6
17.6
1.0
.1
....
....
.9
10.2
....
10.2
....
....
....

....
....
....
....
....
.4
....
.4
....
....
....
....
93.1
85.2
75.3
22.9
52.4
9.9
1.0
.1
....
....
.9
6.9
....
6.9
....
....
....

....
....
....
....
....
....
....
....
....
....
....

274.0
285.5
162.8
122.7
22.3
100.4
11.5
.7
10.8
.4
10.4

300.9
315.1
136.3
178.8
14.6
164.2
14.2
.7
13.4
.4
13.0

321.8
326.0
97.7
228.2
20.8
207.4
4.1
.5
3.6
3.3
.4

437.2
443.2
232.3
211.0
16.4
194.6
6.1
.6
5.5
4.4
1.1

468.6
476.8
216.9
259.9
16.1
243.8
8.2
.6
7.6
6.2
1.4

564.6
575.2
321.4
253.8
15.9
237.8
10.6
.7
9.9
8.0
1.9

574.4
588.4
242.9
345.5
16.1
329.4
14.0
.7
13.3
10.5
2.8

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

363.1
....
....
363.3
362.1
59.8
302.3
1.2
.1
....
....
....
.1

312.6
....
....
312.7
311.5
58.5
253.1
1.2
.1
....
....
....
.1

189.7
....
....
189.8
181.5
....
181.5
8.3
.1
....
....
....
.1

438.7
....
....
438.9
431.3
....
431.3
7.5
.1
....
....
....
.1

408.7
....
....
408.8
402.8
....
402.8
6.0
.1
....
....
....
.1

602.7
....
....
602.9
596.9
....
596.9
6.0
.1
....
....
....
.1

456.8
....
....
457.0
451.0
....
451.0
6.0
.1
....
....
....
.1

FINANCIAL ACCOUNT........................................ 30999S N AA

....

167.0

21.4

125.7

420.9

199.0

90.8

378.5

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

136.7
3.0
.7
.7
.7
....
....
....
2.3
2.3
....
....

29.7
5.9
.9
.9
.9
....
....
....
5.0
5.0
....
....

110.7
13.6
1.5
1.5
1.5
....
....
....
12.2
12.2
....
....

176.9
18.6
2.0
2.0
2.0
....
....
....
16.6
16.6
....
....

50.5
1.3
2.6
3.0
3.0
....
....
.4
3.9
3.9
....
....

54.7
42.3
.3
.1
.1
....
....
.3
42.0
42.0
....
....

82.8
9.6
1.2
1.1
1.1
....
....
.1
8.4
8.4
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
566
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malawi

676
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

139.7
88.2
69.7
69.7
....
....
18.5
51.5
51.5
....
....

35.6
44.7
68.3
68.3
....
....
23.6
80.3
80.3
....
....

124.4
20.5
54.2
54.2
....
....
33.7
144.9
144.9
....
....

195.4
145.9
41.3
41.3
....
....
104.6
49.5
49.5
....
....

49.1
69.2
1.6
1.6
....
....
67.6
20.0
20.0
....
....

97.0
132.8
3.8
3.8
....
....
136.6
35.8
35.8
....
....

92.4
52.6
.2
.2
....
....
52.4
39.8
39.8
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4.0
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
3.9
3.9
....
....
....
3.9
....
....
....
....
....
....
....

2.5
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
2.5
2.5
....
....
....
2.5
....
....
....
....
....
....
....

1.8
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
1.7
1.7
....
....
....
1.7
....
....
....
....
....
....
....

1.6
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
1.5
1.5
....
....
....
1.5
....
....
....
....
....
....
....

.4
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
.3
.3
....
....
....
.3
....
....
....
....
....
....
....

.9
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
1.0
1.0
....
....
....
1.0
....
....
....
....
....
....
....

1.1
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
1.0
1.0
....
....
....
1.0
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

65.2
32.8
....
32.8
....
24.0
....
8.7
....
32.4
....
....
32.4
11.4
1.7
36.0
9.4
....

30.9
29.5
....
29.5
....
29.6
....
....
....
1.4
....
....
1.4
58.3
5.9
37.9
13.1
....

134.9
19.5
....
19.5
....
17.7
....
1.8
....
115.3
....
....
115.3
13.3
23.0
58.4
20.7
....

251.5
38.0
....
38.0
....
2.7
....
35.4
....
213.5
....
....
213.5
92.9
11.9
60.0
72.5
....

41.9
39.3
....
39.3
....
27.9
....
11.4
....
81.2
....
86.5
5.3
.2
1.4
85.8
89.8
....

170.6
33.4
....
33.4
....
16.7
....
16.8
....
204.0
....
....
204.0
19.4
15.9
64.5
136.0
....

188.0
29.4
....
29.4
....
20.1
....
9.3
....
217.5
....
....
217.5
.8
26.9
186.3
4.9
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

30.9
....
.1
....
30.9

25.1
....
.4
....
24.7

118.1
....
.7
....
118.8

6.0
....
.1
....
5.9

106.9
....
.2
.1
106.8

135.4
....
.3
....
135.7

108.7
....
1.2
....
107.5

NET ERRORS AND OMISSIONS.........................

....

23.5

27.4

96.2

156.9

54.2

211.6

70.6

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
567
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malawi

676
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
388.3
394.2
536.8
505.3
466.9
753.3
Direct investment............................................. 8A9999 A AA
....
8.4
15.1
28.9
49.5
48.1
89.7
Equity and investment fund shares................. 8AA000 A AA
....
2.9
3.9
5.4
7.8
10.5
10.9
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2.9
....
....
5.5
5.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
220.5
....
220.5
....
50.6
....
169.9
....
159.5
.5
1.1
3.3
154.6

3.9
....
....
11.2
11.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
244.8
....
244.8
....
73.8
....
170.9
....
134.3
.5
.7
3.5
129.6

5.4
....
....
23.5
23.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
255.6
....
255.6
35.3
55.7
....
164.6
....
252.3
.5
....
3.7
248.1

7.8
....
....
41.7
41.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
197.4
....
197.4
19.3
52.9
....
125.2
....
258.4
.5
.1
3.6
254.2

10.5
....
....
37.6
37.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
252.2
....
252.2
21.4
77.9
....
153.0
....
166.6
15.6
1.9
3.8
145.2

10.9
....
....
78.8
78.8
....
....
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
....
361.6
....
361.6
19.4
92.0
....
250.1
....
302.0
15.7
1.6
3.7
281.0

621.5
71.9
11.2
11.2
....
....
60.7
60.7
....
....
.1
.1
....
....
....
.1
....
....
....
....
....
....
....
....
356.2
....
356.2
19.4
103.9
....
232.8
....
193.3
15.7
.4
3.7
173.5

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,648.6
614.4
363.7
363.7
....
....
250.7
250.7
....
....
7.5
7.5
....
....
....
7.5
....
....
....
....
....
....
....

1,289.5
655.1
312.6
312.6
....
....
342.5
342.5
....
....
4.7
4.7
....
....
....
4.7
....
....
....
....
....
....
....

1,556.1
780.3
292.0
292.0
....
....
488.4
488.4
....
....
6.0
2.9
....
....
....
2.9
....
3.1
....
....
....
3.1
....

1,929.7
977.4
440.1
440.1
....
....
537.3
537.3
....
....
4.1
1.4
....
....
....
1.4
....
2.7
....
....
....
2.7
....

2,066.7
1,028.5
512.0
512.0
....
....
516.5
516.5
....
....
5.7
1.1
....
....
....
1.1
....
4.5
....
....
....
4.5
....

2,359.3
1,149.8
651.7
651.7
....
....
498.1
498.1
....
....
7.0
2.2
....
....
....
2.2
....
4.8
....
....
....
4.8
....

2,265.2
1,164.9
527.9
527.9
....
....
637.0
637.0
....
....
10.8
7.1
....
....
....
7.1
....
3.8
....
....
....
3.8
....

_______________________________________________________________________________________________________________________________
568
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malawi

676
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Malawi kwacha per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
3,026.7
....
15.7
3,011.0
75.3
14.8
2,878.8
42.1
....

....
629.8
....
16.5
613.2
19.5
28.9
507.7
57.1
....

....
769.8
....
17.3
752.4
33.5
76.0
542.8
100.1
....

....
948.2
....
16.9
931.3
124.9
48.4
585.7
172.5
....

....
1,032.6
....
104.0
928.5
127.2
46.2
675.0
80.1
....

....
1,202.5
....
102.2
1,100.3
146.2
14.9
712.9
226.3
....

....
1,089.4
....
101.9
987.5
145.4
53.1
604.8
184.2
....

....

3,260.2

....

123.781

895.3 1,019.3 1,424.4 1,599.8 1,605.9 1,643.7


139.343

140.316

140.600

145.995

150.801

163.752

_______________________________________________________________________________________________________________________________
569
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malaysia

548
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
19,980
26,200
29,770
38,914
31,801
27,290

31,770

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

141,603
108,621

161,485
123,443

176,545
138,432

199,222
148,391

158,058
117,327

198,954
157,283

227,646
179,241

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

19,750
21,956

21,081
23,651

29,076
28,668

30,751
30,270

28,291
27,472

32,760
32,216

35,974
38,569

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

24,457

30,760

34,438

44,176

37,381

34,073

38,627

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

299
4,776

314
4,874

391
5,059

419
5,681

1,077
6,657

578
7,361

1,519
8,376

B. Capital Account........................................... 20999F B AA

....

....

72

54

187

45

51

63

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

19,980

9
82

26,127

14
68

29,716

268
81

39,101

3
48

31,756

26
77

18
81

C. Financial Account......................................... 30999F N AA

....

9,806

11,812

11,377

33,974

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

2,931
1,867
1,064

7,638
4,583
3,055

11,816
9,216
2,599

15,400
8,774
6,626

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

3,925
4,232
308

7,691
7,609
82

9,071
8,688
384

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

715
7
722

2,121
1,887
234

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

2,985
1,200
1,786

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

32,982

2006

38,042

2007

38,113

2008

50,831

2009

40,731

41,672

48,405

30,776

35,472

38,520

51,313

41,551

42,215

45,810

5,373
11,691

8,494
13,206

11,380
15,462

12,081
19,218

11,213
15,382

11,978
20,120

17,120
24,304

27,239

31,707

22,639

5,919

7,404

6,741
5,405
1,336

13,513
....
....

15,221
....
....

7,573
5,167
2,406

115
706
591

9,167
....
....

12,001
....
....

3,932
4,093
161

2,878
2,291
587

6,339
3,760
2,580

....
....
....

....
....
....

5,557
2,355
3,202

9,320
669
9,989

21,083
10,716
10,367

6,048
449
6,497

....
....
....

....
....
....

58
59
1

29
8
21

48
198
246

659
1,165
506

683
32
651

212
....
....

21
....
....

....
....
....

4,877
....
4,877

8,562
....
8,562

17,400
....
17,400

3,826
....
3,826

17,667
....
17,667

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

2,164
....
2,164

10,174

6,769
....
6,769

14,315

3,427
....
3,427

5,352
....
5,352

5,127

1,263
....
1,263

9,117

....
....
....

21,321

....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

6,555

7,451

5,195

8,578

5,199

21,358

7,955

E. Reserves and Related Items.......................... 4Z999S N AA

....

3,620

6,864

13,144

3,450

3,918

37

31,156

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

3,620
....
....

6,864
....
....

13,144
....
....

3,450
....
....

3,918
....
....

37
....
....

31,156
....
....

Conversion rates: ringgit per U.S. dollar.......... RFZ F B

....

3.787

3.668

3.438

3.336

3.525

3.221

3.060

18,338

39,111

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
570
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malaysia

548
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
19,980
26,200
29,770
38,914
31,801
27,290
GOODS AND SERVICES..................................... 1Z9999 B XN
....
30,776
35,472
38,520
51,313
41,551
42,215
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

15,797
15,582
215
6,508
4,834
1,674
7,841
909
379
90
266
2,014
3,496
646
42
11,698
1,034
734
307
1,133
1,978
5,400
897
215

231,714
189,499
41,672
198,954
198,954
....
....
157,283
157,283
....
544
32,760
32,216
....
....
....
....
4,692
....
....
....
11,905
....
....
....
18,315
....
....
7,943
....
....
9,754
....
....
....
....
9,672
....
....
81
12,368
....
....
....
....
12,124
....
....
244

31,770
45,810
263,620
217,810
48,405
227,646
227,646
....
....
179,241
179,241
....
2,595
35,974
38,569
....
....
....
....
4,848
....
....
....
13,275
....
....
....
19,593
....
....
10,753
....
....
11,534
....
....
....
....
11,444
....
....
90
14,540
....
....
....
....
14,278
....
....
262

4,170
11,213
15,382
1,131
1,554
10,082
5,065
3,822
....
....
1,242

8,142
11,978
20,120
1,102
1,754
10,876
5,875
....
....
....
....

7,184
17,120
24,304
1,198
1,970
15,923
9,473
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

161,353
130,577
32,982
141,603
141,343
....
260
108,621
107,461
1,161
2,206
19,750
21,956
2
....
172
....
4,056

182,566
147,094
38,042
161,485
160,388
820
278
123,443
122,189
1,254
2,570
21,081
23,651
2
....
218
....
4,153

205,621
167,101
38,113
176,545
175,780
601
164
138,432
136,670
1,762
407
29,076
28,668
5
....
210
....
7,145

229,974
178,661
50,831
199,222
199,017
140
346
148,391
146,015
2,377
482
30,751
30,270
....
....
290
....
6,766

186,350
144,799
40,731
158,058
157,111
722
225
117,327
115,638
1,689
820
28,291
27,472
1
....
244
....
4,408

8,396

9,533

10,942

11,391

9,265

8,846
8,738
108
3,711
2,771
940
6,674
811
278
60
27
1,050
2,773
1,562
113
9,849
1,087
518
119
1,370
1,059
3,636
1,855
205

10,427
10,247
180
4,257
3,134
1,123
6,282
992
290
71
26
1,125
2,806
863
110
9,861
1,146
611
129
954
1,191
4,171
1,431
230

14,050
13,808
241
5,601
4,225
1,376
7,666
1,359
357
88
37
1,459
3,446
832
87
12,125
1,689
684
204
1,185
1,504
4,733
1,933
193

15,293
15,056
237
6,709
5,006
1,703
8,403
1,212
371
87
199
1,628
3,997
872
38
12,170
1,412
728
301
1,268
1,713
5,363
1,177
210

....
....
....
....
....
....
....
....
....
....
....

6,318
5,373
11,691
1,117
1,244
4,256
1,087
969
....
....
118

4,712
8,494
13,206
1,365
1,449
7,129
3,254
2,958
....
....
295

4,082
11,380
15,462
1,556
1,738
9,824
4,368
3,884
....
....
484

7,137
12,081
19,218
1,329
1,547
10,752
4,723
3,642
....
....
1,082

1,543
2,011
501
628
6,938
830

1,853
1,732
568

828
7,890
815

3,898
2,445
802

999
8,816
1,127

3,260
2,523
983

1,015
9,492
885

2011

1,433
2,043
932

688
7,490
1,087

_______________________________________________________________________________________________________________________________
571
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malaysia

548
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

100
43
....
....
57
3,068
....
3,068
....
....
....
....
10,446
8,330
8,240
....
....
89
528
396
....
....
132
1,589
....
1,589
....
....
....

193
125
....
....
68
3,683
....
3,683
....
....
....
....
11,757
8,858
8,774
....
....
84
1,001
632
....
....
369
1,898
....
1,898
....
....
....

150
97
....
....
53
5,305
....
5,305
....
....
....
....
13,724
9,932
9,867
....
....
64
1,854
1,532
....
....
322
1,938
....
1,938
....
....
....

248
205
....
....
44
5,780
....
5,780
....
....
....
....
17,671
13,838
13,586
....
....
252
3,221
1,925
....
....
1,296
611
....
611
....
....
....

238
175
....
....
63
4,780
....
4,780
....
....
....
....
13,829
11,119
10,896
....
....
222
2,295
1,099
....
....
1,196
415
....
415
....
....
....

495
....
....
....
....
4,506
....
4,506
....
....
....
....
18,366
15,338
....
....
....
....
2,639
....
....
....
....
389
....
389
....
....
....

777
....
....
....
....
5,673
....
5,673
....
....
....
....
22,333
18,168
....
....
....
....
3,720
....
....
....
....
445
....
445
....
....
....

....
....
....
....
....
....
....
....
....
....
....

4,477
299
134
164
....
164
4,776
152
4,624
4,435
189

4,560
314
134
180
....
180
4,874
228
4,646
4,147
499

4,668
391
140
251
....
251
5,059
105
4,954
4,650
304

5,262
419
90
329
....
329
5,681
142
5,539
5,238
301

5,580
1,077
81
996
....
996
6,657
127
6,531
4,975
1,556

6,783
578
....
....
....
....
7,361
....
....
....
....

6,857
1,519
....
....
....
....
8,376
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

72
2
15
7
....
....
....
....
67
....
....
....
....

54
....
34
14
....
....
....
....
34
....
....
....
....

187
264
28
4
....
....
....
....
53
....
....
....
....

45
....
19
3
....
....
....
....
30
....
....
....
....

51
9
34
17
....
....
....
....
43
....
....
....
....

63
4
42
15
....
....
....
....
39
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

13,425

18,676

24,521

30,523

26,557

5,882

23,752

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

994
2,931
1,867
1,867
1,867
....
....
....
1,064
1,021
43
....

53
7,638
4,583
4,583
4,583
....
....
....
3,055
1,185
1,869
....

2,744
11,816
9,216
9,216
9,216
....
....
....
2,599
1,997
602
....

7,828
15,400
8,774
8,774
8,782
8
....
....
6,626
6,364
262
....

6,626
6,741
5,405
5,405
5,405
....
....
....
1,336
3,085
1,749
....

4,346
13,513
....
....
....
....
....
....
....
....
....
....

3,220
15,221
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
572
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malaysia

548
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

3,925
4,232
4,232
4,232
....
....
....
308
223
84
....

7,691
7,609
7,609
7,609
....
....
....
82
337
255
....

9,071
8,688
8,688
8,688
....
....
....
384
505
121
....

7,573
5,167
5,167
5,201
34
....
....
2,406
2,429
23
....

115
706
706
715
8
....
....
591
1,077
485
....

9,167
....
....
....
....
....
....
....
....
....
....

12,001
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,700
715
7
....
1
....
7
....
722
....
256
15
481
....
2,985
1,200
....
928
....
272
....
1,786
1,153
200
397
829
....

3,436
2,121
1,887
....
1
....
1,888
....
234
....
409
16
192
....
5,557
2,355
....
32
....
2,323
....
3,202
812
648
1,937
1,101
....

5,388
3,932
4,093
1
33
....
4,061
....
161
1
417
8
265
....
9,320
669
....
716
....
1,385
....
9,989
290
91
2,522
7,086
....

23,961
2,878
2,291
....
38
274
2,603
....
587
1
112
10
486
....
21,083
10,716
....
1,129
....
9,587
....
10,367
11,470
81
158
1,181
....

291
6,339
3,760
2
122
3
3,633
....
2,580
....
969
1
1,611
....
6,048
449
....
21
....
428
....
6,497
263
724
1,496
5,988
....

14,991
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8,568
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

58
59
1

29
8
21

48
198
246

659
1,165
506

683
32
651

212
....
....

21
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7,041
4,877
....
4,877
....
1,579
8
6,464
....
2,164
....
....
2,164
....
134
841
1,188
....

15,331
8,562
....
8,562
....
4,291
1
4,271
....
6,769
....
....
6,769
....
3,613
2,194
962
....

13,973
17,400
....
17,400
....
13,041
4
4,355
....
3,427
....
....
3,427
....
6,425
653
2,344
....

1,526
3,826
....
3,826
....
11,922
....
8,096
....
5,352
....
....
5,352
....
1,920
142
7,130
....

16,404
17,667
....
17,667
....
2,974
1
14,695
....
1,263
....
1,885
622
....
247
151
225
....

16,351
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,077
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

3,620
....
13
437
4,044

6,864
....
7
103
6,959

13,144
....
5
48
13,187

3,450
....
3
162
3,615

3,918
....
1,887
115
1,916

37
....
1
35
73

31,156
....
111
382
30,886

NET ERRORS AND OMISSIONS.........................

....

6,555

7,451

5,195

8,578

5,199

21,358

7,955

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
573
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malaysia

548
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 116,846 157,297 224,898 219,182 248,984 292,378
Direct investment............................................. 8A9999 A AA
....
22,035
36,127
58,436
67,580
79,663
96,896
Equity and investment fund shares................. 8AA000 A AA
....
13,499
20,189
34,318
43,018
54,033
65,572
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
8,536
....
....
....
4,183
1,715
....
....
....
....
....
2,468
....
....
....
....
....
233
20,256
....
....
....
....
....
....
....
70,139
294
196
285
69,363

....
....
....
15,938
....
....
....
8,269
5,512
....
....
....
....
....
2,758
....
....
....
....
....
586
30,114
....
....
....
....
....
....
....
82,201
293
214
195
81,499

....
....
....
24,117
....
....
....
15,320
12,524
....
....
....
....
....
2,796
....
....
....
....
....
541
49,109
....
....
....
....
....
....
....
101,493
294
229
155
100,815

....
....
....
24,561
....
....
....
16,215
11,592
....
....
....
....
....
4,623
....
....
....
....
....
2,235
41,520
....
....
....
....
....
....
....
91,632
379
226
317
90,709

....
....
....
25,630
....
....
....
27,782
20,133
....
....
....
....
....
7,648
....
....
....
....
....
2,273
42,531
....
....
....
....
....
....
....
96,735
1,282
2,124
442
92,887

....
....
....
31,323
....
....
....
35,893
25,050
....
....
....
....
....
10,843
....
....
....
....
....
1,700
51,309
....
....
....
....
....
....
....
106,581
1,643
2,088
471
102,380

338,285
106,217
71,095
....
....
....
35,122
....
....
....
40,290
26,562
....
....
....
....
....
13,728
....
....
....
....
....
2,139
56,382
....
....
....
....
....
....
....
133,257
1,832
1,973
843
128,608

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

136,699
44,460
41,346
....
....
....
3,113
....
....
....
46,054
30,498
....
....
....
....
....
15,556
....
....
....
....
....

163,947
53,710
51,246
....
....
....
2,464
....
....
....
65,927
46,031
....
....
....
....
....
19,897
....
....
....
....
....

229,471
75,763
71,667
....
....
....
4,096
....
....
....
103,208
68,162
....
....
....
....
....
35,045
....
....
....
....
....

186,200
73,262
68,781
....
....
....
4,481
....
....
....
64,357
27,689
....
....
....
....
....
36,669
....
....
....
....
....

218,093
78,995
73,141
....
....
....
5,854
....
....
....
84,774
41,716
....
....
....
....
....
43,058
....
....
....
....
....

288,125
101,510
95,336
....
....
....
6,174
....
....
....
128,528
65,902
....
....
....
....
....
62,626
....
....
....
....
....

326,419
114,555
107,518
....
....
....
7,037
....
....
....
142,200
66,562
....
....
....
....
....
75,638
....
....
....
....
....

_______________________________________________________________________________________________________________________________
574
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malaysia

548
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: ringgit per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

317
45,869
....
199
45,670
....
....
....
....
....

515
43,794
....
209
43,585
....
....
....
....
....

536
49,965
....
220
49,745
....
....
....
....
....

2,135
46,446
....
214
46,232
....
....
....
....
....

2,539
51,786
....
2,110
49,676
....
....
....
....
....

1,498
56,589
....
2,073
54,516
....
....
....
....
....

2,008
67,656
....
2,067
65,589
....
....
....
....
....

....

19,853

6,650

4,573

32,982

30,891

4,253

11,866

....

3.780

3.532

3.307

3.464

3.425

3.084

3.177

_______________________________________________________________________________________________________________________________
575
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Maldives

556
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
273.0
302.0
460.3
777.3
333.9
207.2

490.1

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

346.4
1,725.3

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

415.0

310.1

305.6

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

211.5
69.5

91.3
83.2

B. Capital Account........................................... 20999F B AA

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

273.0

302.0

414.3

726.2

304.6

197.9

459.9

C. Financial Account......................................... 30999F N AA

....

222.6

238.9

395.7

242.7

196.3

19.5

61.0

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

53.0
53.0
....

63.8
63.8
....

125.6
125.6
....

175.0
175.0
....

154.0
154.0
....

216.5
216.5
....

281.6
281.6
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

3.3
.5
3.8

11.4
13.9
2.6

12.0
14.5
2.4

12.2
10.4
1.8

.1
....
.1

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

32.2
....
32.2

20.9
....
20.9

135.5
....
135.5

102.3
....
102.3

134.1
....
134.1

165.6
....
165.6

201.3
....
201.3

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

137.4
....
137.4

196.0
....
196.0

402.4
....
402.4

158.6
....
158.6

188.5
....
188.5

19.2
....
19.2

19.4
....
19.4

D. Net Errors and Omissions............................. 40999S N AA


E. Reserves and Related Items.......................... 4Z999S N AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

161.6
655.5

2006

225.2
815.3

2007

227.0
1,304.8

2008

2009

331.4
1,649.0

169.0
1,081.7

197.5
1,241.8

912.7

1,044.3

1,378.9

493.8

590.1

1,077.8

1,317.6

322.9
213.1

384.0

551.9
231.2

269.4

1,393.7
336.7

1,472.1
428.4

1,436.3
400.2

1,809.9
451.1

1,981.0
540.0

10.9
41.8

15.6
56.3

26.7
311.5

14.0
304.4

564.3

5.8
283.5

154.4

4.0
326.7

8.1

6.6
340.0

271.3

47.9
202.6

19.8
232.9

24.5
204.0

15.4
214.5

25.9
244.7

....

46.1

51.2

29.3

9.3

30.2

....
....

46.1
....

51.2
....

29.3
....

9.3
....

30.2
....

20.8

273.9

123.4

314.5

62.1

50.4

63.1

18.5

483.5

108.3

178.4

398.8

....

27.1

108.1

95.2

418.1

123.7

260.7

383.7

....

23.3

45.0

76.7

65.3

15.4

82.3

15.2

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

17.1
6.3
....

45.0
....
....

76.7
....
....

67.7
2.4
....

20.3
4.9
....

89.4
7.0
....

15.2
....
....

Conversion rates: rufiyaa per U.S. dollar.......... RFZ F B

....

12.800

12.800

12.800

12.800

12.800

12.800

14.602

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
576
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Maldives

556
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
273.0
302.0
460.3
777.3
333.9
207.2
GOODS AND SERVICES..................................... 1Z9999 B XN
....
384.0
269.4
20.8
273.9
123.4
314.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

484.5
868.6
493.8
161.6
161.6
....
....
655.5
655.5
....
109.8
322.9
213.1
....
....
....
....
22.0
....

....
....
....
....
....
....
....
....
....
....
....

5.0
17.0

777.1
1,620.7
1,803.5
1,046.5
1,641.5
2,077.4
590.1 1,077.8 1,317.6
225.2
227.0
331.4
225.2
227.0
331.4
....
....
....
....
....
....
815.3 1,304.8 1,649.0
815.3
1,304.8
1,649.0
....
....
....
320.7 1,057.0 1,043.8
551.9
1,393.7
1,472.1
231.2
336.7
428.4
....
....
....
....
....
....
....
....
....
....
....
....
26.0
28.8
40.5
....
....
....

5.9
20.1

7.3
21.5

9.7
30.8

1,605.3
2,007.4
1,481.9
1,693.0
912.7 1,044.3
169.0
197.5
169.0
197.5
....
....
....
....
1,081.7 1,241.8
1,081.7
1,241.8
....
....
1,036.0 1,358.8
1,436.3
1,809.9
400.2
451.1
....
....
....
....
....
....
....
....
36.5
40.0
....
....

6.8
29.7

8.9
31.1

2011
490.1
62.1
2,327.4
2,265.3
1,378.9
346.4
346.4
....
....
1,725.3
1,725.3
....
1,441.0
1,981.0
540.0
....
....
....
....
59.6
....

15.3
44.3

94.5

115.5

146.6

178.2

134.8

151.7

174.8

286.6
....
286.6
69.9
2.5
67.4
14.2
....
.6
....
7.5
....
....
....
6.1
48.6
....
7.6
....
....
....
38.1
....
2.9

512.4
....
512.4
78.3
2.5
75.8
13.4
....
.7
....
10.0
....
....
....
2.8
37.4
....
9.5
....
....
....
23.1
....
4.8

1,331.4
....
1,331.4
119.5
4.1
115.4
33.5
....
4.9
....
6.5
17.7
....
....
4.5
70.6
13.9
12.9
....
1.0
15.0
23.4
....
4.5

1,392.3
....
1,392.3
164.1
5.8
158.2
39.4
....
8.0
....
7.0
19.4
....
....
5.0
86.1
13.7
15.4
....
1.9
22.4
24.2
....
8.5

1,365.8
....
1,365.8
172.7
6.2
166.5
33.9
....
.8
....
5.7
22.0
....
....
5.4
92.7
15.9
19.5
....
2.8
23.6
26.7
....
4.2

1,712.9
....
1,712.9
204.9
10.6
194.2
57.0
....
1.0
....
5.6
44.8
....
....
5.7
94.5
5.8
20.1
....
2.3
30.9
30.1
....
5.4

1,868.2
....
1,868.2
209.4
11.1
198.3
53.2
....
1.4
....
5.2
40.6
....
....
6.0
155.8
20.0
26.4
....
2.3
68.4
33.3
....
5.4

31.0
10.9
41.8
2.3
.4
8.6
....
....
....
....
....

40.8
15.6
56.3
2.8
.4
12.8
....
....
....
....
....

284.8
26.7
311.5
7.9
.4
18.8
....
....
....
....
....

290.4
14.0
304.4
6.3
.4
7.8
....
....
....
....
....

277.8
5.8
283.5
4.5
.5
1.3
....
....
....
....
....

322.6
4.0
326.7
3.2
.5
.9
....
....
....
....
....

333.3
6.6
340.0
3.0
.5
3.7
....
....
....
....
....

24.3
68.4
1.8

28.2
85.1
2.2

30.4
113.8
2.4

43.6
132.0
2.6

37.6
95.1
2.1

47.0
102.4
2.3

47.2
125.0
2.6

_______________________________________________________________________________________________________________________________
577
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Maldives

556
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
8.6
....
8.6
....
....
....
....
41.4
31.0
31.0
21.5
9.5
....
....
....
....
....
....
10.5
....
10.5
....
....
....

....
....
....
....
....
12.8
....
12.8
....
....
....
....
55.9
41.0
41.0
27.2
13.9
....
....
....
....
....
....
14.9
....
14.9
....
....
....

....
....
....
....
....
18.8
....
18.8
....
....
....
....
311.1
214.7
214.7
164.8
49.9
....
....
....
....
....
....
96.4
....
96.4
....
....
....

....
....
....
....
....
7.8
....
7.8
....
....
....
....
304.0
223.8
223.8
171.6
52.2
....
....
....
....
....
....
80.2
....
80.2
....
....
....

....
....
....
....
....
1.3
....
1.3
....
....
....
....
283.1
219.9
219.9
168.7
51.2
....
....
....
....
....
....
63.2
....
63.2
....
....
....

....
....
....
....
....
.9
....
.9
....
....
....
....
326.2
271.9
271.9
207.7
64.2
....
....
....
....
....
....
54.2
....
54.2
....
....
....

....
....
....
....
....
3.7
....
3.7
....
....
....
....
339.5
280.2
280.2
210.2
70.1
....
....
....
....
....
....
59.3
....
59.3
....
....
....

....
....
....
....
....
....
....
....
....
....
....

142.0
211.5
211.5
....
....
....
69.5
....
69.5
69.5
....

8.2
91.3
91.3
....
....
....
83.2
....
83.2
83.2
....

154.7
47.9
47.9
....
....
....
202.6
.9
201.7
188.4
13.3

213.1
19.8
19.8
....
....
....
232.9
.7
232.2
218.3
13.9

179.5
24.5
24.5
....
....
....
204.0
.7
203.4
189.7
13.7

199.1
15.4
15.4
....
....
....
214.5
3.9
210.5
188.9
21.6

218.8
25.9
25.9
....
....
....
244.7
.9
243.8
216.5
27.3

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

46.1
....
....
46.1
46.1
....
46.1
....
....
....
....
....
....

51.2
....
....
51.2
51.2
....
51.2
....
....
....
....
....
....

29.3
....
....
29.3
29.3
....
29.3
....
....
....
....
....
....

9.3
....
....
9.3
9.3
....
9.3
....
....
....
....
....
....

30.2
....
....
30.2
30.2
....
30.2
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

245.9

193.9

319.0

308.0

180.9

62.9

76.2

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

53.0
....
....
....
....
....
....
....
....
....
....
....

63.8
....
....
....
....
....
....
....
....
....
....
....

125.6
....
....
....
....
....
....
....
....
....
....
....

175.0
....
....
....
....
....
....
....
....
....
....
....

154.0
....
....
....
....
....
....
....
....
....
....
....

216.5
....
....
....
....
....
....
....
....
....
....
....

281.6
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
578
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Maldives

556
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

53.0
53.0
43.5
43.5
....
....
9.5
....
....
....
....

63.8
63.8
50.0
50.0
....
....
13.9
....
....
....
....

125.6
125.6
75.6
75.6
....
....
49.9
....
....
....
....

175.0
175.0
122.8
122.8
....
....
52.2
....
....
....
....

154.0
154.0
102.7
102.7
....
....
51.2
....
....
....
....

216.5
216.5
152.2
152.2
....
....
64.2
....
....
....
....

281.6
281.6
211.5
211.5
....
....
70.1
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3.3
....
....
....
....
....
....
....
....
....
....
....
....
....
3.3
.5
....
....
....
.5
....
3.8
....
....
....
3.8
....

11.4
....
....
....
....
....
....
....
....
....
....
....
....
....
11.4
13.9
....
....
....
13.9
....
2.6
....
....
....
2.6
....

12.0
....
....
....
....
....
....
....
....
....
....
....
....
....
12.0
14.5
....
....
....
14.5
....
2.4
....
....
....
2.4
....

12.2
....
....
....
....
....
....
....
....
....
....
....
....
....
12.2
10.4
....
....
....
10.4
....
1.8
....
....
....
1.8
....

.1
....
....
....
....
....
....
....
....
....
....
....
....
....
.1
....
....
....
....
....
....
.1
....
....
....
.1
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

175.8
32.2
....
32.2
....
32.2
....
....
....
143.6
....
....
143.6
12.5
67.2
18.6
45.3
....

175.0
20.9
....
20.9
....
20.9
....
....
....
196.0
....
....
196.0
....
125.2
38.6
32.2
....

266.9
135.5
....
135.5
....
15.7
....
119.8
....
402.4
....
....
402.4
4.7
210.9
36.4
159.8
....

53.9
102.3
....
102.3
....
23.0
....
125.3
....
156.2
....
....
156.2
5.0
7.2
60.5
93.4
....

59.3
134.1
....
134.1
....
11.2
....
122.9
....
193.4
....
11.6
181.8
9.8
15.6
71.0
116.6
....

177.7
165.6
....
165.6
....
11.4
....
154.2
....
12.2
....
....
12.2
18.4
69.4
74.6
35.9
....

220.7
201.3
....
201.3
....
33.2
....
168.1
....
19.4
....
....
19.4
4.3
110.9
67.2
28.6
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

17.1
....
....
....
17.1

45.0
....
....
....
45.0

76.7
....
....
....
76.7

67.7
....
.1
....
67.8

20.3
....
11.5
....
8.8

89.4
....
.2
....
89.6

15.2
....
1.0
.7
14.8

NET ERRORS AND OMISSIONS.........................

....

27.1

108.1

95.2

418.1

123.7

260.7

383.7

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
579
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Maldives

556
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
234.2
300.3
391.5
301.3
331.1
385.6
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
47.1
....
47.1
....
47.1
....
....
....
187.1
....
.5
2.2
184.4

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
68.1
....
68.1
....
68.1
....
....
....
232.2
....
.5
2.3
229.4

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
82.4
....
82.4
....
82.4
....
....
....
309.1
....
.6
2.5
306.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
60.0
....
60.0
....
60.0
....
....
....
241.3
....
.6
2.4
238.3

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
69.4
....
69.4
....
69.4
....
....
....
261.7
....
12.2
2.4
247.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
71.2
....
71.2
....
71.2
....
....
....
314.5
....
11.7
2.4
300.3

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
10.7
3.1
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

410.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

588.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

854.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

977.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

977.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,066.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
580
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Maldives

556
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: rufiyaa per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
410.5
....
.4
410.1
13.0
87.4
309.6
....
....

....
588.6
....
.4
588.1
13.3
212.6
362.3
....
....

....
854.2
....
.4
853.7
13.6
420.2
420.0
....
....

....
977.5
....
.4
977.1
8.8
497.5
470.8
....
....

....
977.1
....
12.1
965.1
18.4
413.5
533.1
....
....

....
1,066.9
....
11.8
1,055.1
36.0
420.7
598.3
....
....

....
....
....
....
....
....
....
....
....
....

....

176.2

288.3

462.7

676.2

646.1

681.3

....

....

12.800

12.800

12.800

12.800

12.800

12.800

15.410

_______________________________________________________________________________________________________________________________
581
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mali

678
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
437.7
218.6
581.1 1,063.4
654.9 1,189.9

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

1,100.9
1,243.5

1,550.2
1,473.2

1,555.7
1,844.5

2,095.7
2,730.5

1,772.2
1,982.3

2,052.6
2,717.2

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

274.3
590.0

313.3
676.6

377.2
778.1

455.8
1,026.6

355.8
829.6

383.7
1,027.6

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

665.3

543.7

981.1

1,518.3

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

286.0
58.5

380.9
55.8

482.8
82.9

B. Capital Account........................................... 20999F B AA

....

148.9

140.6

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

149.5
.6

288.8

141.2
.6

78.0

279.3

734.5

C. Financial Account......................................... 30999F N AA

....

333.5

1,922.1

229.6

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

50.0
50.1
.2

53.3
51.6
1.6

115.6
118.8
3.3

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

174.9
33.3
141.6

17.0
15.0
2.0

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

18.0
....
18.0

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

142.7

77.1

288.8

634.9

210.1

664.6

458.3

286.2

689.6

1,205.7

683.9

1,308.5

67.7
274.7

69.0
326.5

71.5
362.9

101.6
414.2

81.6
539.0

1,141.2

71.7
490.7

1,727.5

....
....
....

554.0
99.2

648.3
162.0

700.8
163.3

....
....

301.8

328.8

384.1

229.6

....

302.4
.7

329.6
.8

384.8
.8

270.8

230.5
.9

960.4

....
....
....

623.8

892.3

752.3

....

79.4
81.3
1.9

646.6
645.0
1.6

371.6
373.2
1.6

....
....
....

50.1
61.4
11.3

100.3
18.5
81.8

102.8
272.6
375.3

26.9
13.0
39.9

....
....
....

6.9
.3
6.6

31.0
.1
31.0

117.9
2.2
115.7

60.3
6.3
54.0

462.2
.2
462.4

....
....
....

2.9
8.9
5.9

4.2
2.8
6.9

15.5
6.4
9.1

22.6
3.0
25.6

21.3
3.0
24.3

7.2
1.2
6.0

....
....
....

....
....
....

.1
.1
....

....
....
....

.1
.1
....

3.6
3.6
....

1.6
1.6
....

3.9
3.9
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

109.2
....
109.2

209.3
....
209.3

68.4
....
68.4

205.5
....
205.5

370.7
....
370.7

304.9
....
304.9

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

232.9
....
232.9

44.6

1,771.9
....
1,771.9

2,000.1

279.1
....
279.1

330.4
....
330.4

554.3
....
554.3

507.9
....
507.9

208.1

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

29.1

34.9

E. Reserves and Related Items.......................... 4Z999S N AA

....

15.5 2,035.0

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

122.7
24.8
132.0

14.9
102.8
2,152.7

Conversion rates: CFA francs per U.S. dollar.... RFZ F B

....

527.47

522.89

49.7

110.7

621.5

30.1

31.0

175.3

31.1

....

19.7

79.7

446.3

177.0

....

4.6
4.1
20.1

46.3
28.6
97.4

481.5
3.1
32.1

143.6
5.9
27.6

....
....
....

479.27

447.81

472.19

495.28

471.87

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
582
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mali

678
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
437.7
218.6
581.1 1,063.4
654.9 1,189.9
GOODS AND SERVICES..................................... 1Z9999 B XN
....
458.3
286.2
689.6 1,205.7
683.9 1,308.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

191.6
82.1
109.5
101.6
57.7
43.9
143.1
5.0
2.1
4.9
....
100.5
10.7
.6
19.4
264.0
50.5
36.0
12.2
2.6
57.4
90.6
2.5
12.2

56.2
559.9
2.8

204.6
97.3
107.4
110.8
61.1
49.8
171.8
5.1
2.3
5.4
.2
120.3
9.8
.7
28.1
284.4
51.6
41.3
4.8
2.0
75.2
88.5
.8
20.3

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

457.4
81.6
539.0
29.9
27.6
51.8
29.8
29.8
.2
29.5
....

419.0
71.7
490.7
35.3
31.9
36.4
4.8
4.8
.1
4.6
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,375.2
1,833.5
142.7
1,100.9
426.9
....
674.0
1,243.5
1,243.5
....
315.7
274.3
590.0
....
....
....
1.9
35.1

1,863.6
2,149.8
77.1
1,550.2
426.8
.1
1,123.5
1,473.2
1,473.2
....
363.3
313.3
676.6
....
....
....
2.2
39.1

1,932.9
2,622.5
288.8
1,555.7
480.8
....
1,074.9
1,844.5
1,844.5
....
400.9
377.2
778.1
....
....
.6
1.5
25.9

2,551.5
3,757.1
634.9
2,095.7
653.4
....
1,442.3
2,730.5
2,730.5
....
570.8
455.8
1,026.6
....
....
1.5
2.3
32.5

2,128.0
2,811.9
210.1
1,772.2
426.3
....
1,345.9
1,982.3
1,982.3
....
473.8
355.8
829.6
....
....
1.4
4.0
19.6

2,436.3
3,744.8
664.6
2,052.6
517.4
3.0
1,538.1
2,717.2
2,717.2
....
643.9
383.7
1,027.6
....
....
....
13.5
7.2

361.0

405.4

454.8

644.6

459.9

618.9

148.4
67.0
81.4
76.9
53.5
23.4
90.8
2.0
3.2
4.2
.2
44.2
15.9
.3
20.8
150.1
18.8
35.5
4.2
1.1
31.2
39.5
14.4
5.2

175.0
91.6
83.5
120.2
73.4
46.7
99.2
3.4
4.3
2.7
.2
60.8
5.6
.3
21.9
148.9
16.4
29.5
4.2
1.1
30.2
49.3
15.3
2.8

221.0
132.9
88.1
137.2
82.9
54.3
129.8
1.4
1.6
3.1
.1
86.4
19.0
.6
17.5
184.5
38.3
28.8
4.8
1.0
49.8
55.2
4.4
2.3

274.9
116.5
158.4
147.2
89.6
57.6
147.0
2.3
.6
1.8
.2
105.2
24.0
.3
12.6
232.5
45.2
42.9
4.6
1.6
60.8
72.7
2.3
2.4

....
....
....
....
....
....
....
....
....
....
....

206.9
67.7
274.7
23.9
18.5
43.8
35.9
35.9
.3
35.7
....

257.5
69.0
326.5
19.1
9.9
49.8
35.8
35.8
....
35.8
.1

291.4
71.5
362.9
20.8
13.5
50.7
19.0
19.0
.1
19.0
....

312.6
101.6
414.2
24.8
14.2
76.8
49.2
49.2
.3
48.9
....

1.2
25.3
8.6

56.4
297.2
7.5

.4
32.4
6.3

75.7
327.4
2.3

6.3
14.5
5.1

63.6
387.8
3.5

10.5
16.8
5.1

80.8
560.1
3.7

2011

4.0
10.6
5.0

88.9
367.0
4.0

3.4
.4
3.4

_______________________________________________________________________________________________________________________________
583
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mali

678
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4.2
.2
....
....
4.0
3.7
....
3.7
....
....
....
....
256.1
190.3
184.7
110.1
74.6
5.6
16.7
5.1
....
....
11.6
49.1
....
49.1
....
....
....

7.1
.2
....
....
6.9
6.9
....
6.9
....
....
....
....
316.5
250.8
241.9
182.7
59.2
8.9
16.9
3.0
....
....
13.9
48.8
....
48.8
....
....
....

17.8
.1
....
....
17.7
13.8
....
13.8
....
....
....
....
349.5
262.2
251.9
180.4
71.6
10.3
43.2
21.4
....
....
21.9
44.0
....
44.0
....
....
....

10.8
.2
....
....
10.6
16.8
....
16.8
....
....
....
....
400.0
326.2
318.0
179.9
138.2
8.2
31.4
1.8
....
....
29.7
42.3
....
42.3
....
....
....

9.7
.7
....
....
9.0
12.3
....
12.3
....
....
....
....
511.4
459.4
459.4
337.9
121.5
....
11.8
2.6
....
....
9.1
40.2
....
40.2
....
....
....

18.2
.9
....
....
17.3
13.4
....
13.4
....
....
....
....
458.8
402.0
401.9
276.2
125.7
.1
21.7
5.7
....
....
16.0
35.1
....
35.1
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

227.6
286.0
119.9
166.2
153.3
12.9
58.5
4.0
54.4
50.8
3.6

325.1
380.9
169.1
211.8
192.7
19.0
55.8
4.4
51.4
47.2
4.1

399.9
482.8
125.9
356.9
323.1
33.8
82.9
7.5
75.4
69.2
6.2

454.9
554.0
110.3
443.7
406.1
37.6
99.2
4.2
94.9
90.6
4.4

486.4
648.3
189.3
459.0
423.9
35.2
162.0
14.9
147.1
139.3
7.8

537.5
700.8
212.7
488.1
437.4
50.7
163.3
14.6
148.6
144.0
4.7

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

205.9
....
.6
206.5
194.4
57.0
137.4
12.0
....
....
....
....
....

2,258.5
....
.6
2,259.1
2,247.8
2,117.9
129.9
11.3
....
....
....
....
....

324.1
....
.7
324.8
294.0
22.3
271.7
30.8
....
....
....
....
....

353.2
....
.8
354.0
268.2
24.4
243.9
85.8
....
....
....
....
....

411.6
....
.8
412.4
332.1
27.6
304.5
80.3
....
....
....
....
....

251.8
....
.9
252.7
181.4
22.3
159.1
71.3
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

261.0

2,005.1

227.0

679.2

418.5

907.0

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

224.8
50.0
50.1
85.8
....
85.8
....
35.7
.2
.8
1.0
....

70.2
53.3
51.6
87.4
1.0
86.4
....
35.8
1.6
1.1
.6
....

65.5
115.6
118.8
137.8
.5
137.3
....
19.0
3.3
3.3
....
....

179.7
79.4
81.3
130.2
1.8
128.4
....
48.9
1.9
1.8
.2
....

749.4
646.6
645.0
674.6
.5
674.1
....
29.5
1.6
1.4
.1
....

398.5
371.6
373.2
377.8
5.1
372.7
....
4.6
1.6
1.5
.1
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
584
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mali

678
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

174.9
33.3
41.3
39.8
1.5
....
74.6
141.6
140.0
1.6
....

17.0
15.0
44.2
37.1
7.1
....
59.2
2.0
1.8
3.8
....

50.1
61.4
132.9
130.7
2.3
....
71.6
11.3
13.6
2.3
....

100.3
18.5
119.6
116.1
3.5
....
138.2
81.8
78.6
3.2
....

102.8
272.6
394.1
388.4
5.7
....
121.5
375.3
370.8
4.5
....

26.9
13.0
138.7
133.9
4.8
....
125.7
39.9
46.2
6.3
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

15.1
18.0
....
....
....
....
....
....
18.0
....
16.2
....
1.8
....
2.9
8.9
....
4.7
....
4.2
....
5.9
....
7.9
....
2.0
....

11.1
6.9
.3
....
.3
....
....
....
6.6
....
5.7
1.9
1.1
....
4.2
2.8
....
3.1
....
.4
....
6.9
....
4.9
....
2.0
....

46.5
31.0
.1
....
....
....
.1
....
31.0
....
31.1
....
.1
....
15.5
6.4
....
1.5
....
7.9
....
9.1
....
9.1
....
....
....

95.3
117.9
2.2
....
1.8
....
.4
....
115.7
....
86.0
24.6
5.1
....
22.6
3.0
....
6.5
....
3.5
....
25.6
....
19.5
....
6.0
....

39.0
60.3
6.3
....
6.0
....
.3
....
54.0
....
66.3
5.0
7.3
....
21.3
3.0
....
2.5
....
.5
....
24.3
....
26.0
54.1
3.8
....

455.1
462.2
.2
....
.2
....
....
....
462.4
....
461.3
1.3
.1
....
7.2
1.2
....
.3
....
1.5
....
6.0
....
32.0
39.8
1.8
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

.1
.1
....

....
....
....

.1
.1
....

3.6
3.6
....

1.6
1.6
....

3.9
3.9
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

174.0 2,049.3
109.2
209.3
....
....
109.2
209.3
....
....
.9
85.9
....
3.7
110.0
119.7
....
....
283.1 1,840.0
....
....
....
....
283.1 1,840.0
24.9
101.4
81.9
45.0
158.1 1,745.5
68.0
38.1
....
....

212.6
68.4
....
68.4
....
60.3
.7
8.9
....
281.1
....
....
281.1
1.7
121.0
182.2
23.8
....

637.6
205.5
....
205.5
....
187.4
3.5
14.5
....
432.1
....
....
432.1
44.4
22.8
230.8
179.8
....

191.2
370.7
....
370.7
....
141.8
....
228.9
....
561.9
....
114.7
447.2
6.7
185.0
333.1
64.1
....

824.0
304.9
....
304.9
....
189.0
....
115.9
....
519.0
....
....
519.0
30.5
179.0
242.8
66.8
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA


Monetary gold.............................................................. 3EA000 A AA
Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

122.7
....
.3
.2
122.7

14.9
....
.2
.3
14.9

4.6
....
....
.4
4.2

46.3
....
....
.2
46.1

481.5
....
114.5
.3
366.7

143.6
....
.1
.2
143.8

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

29.1

34.9

30.1

31.0

175.3

31.1

....

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
585
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mali

678
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
1,347.7 1,596.0 1,728.7 1,673.0 2,364.6 2,214.6
Direct investment............................................. 8A9999 A AA
....
7.9
7.5
12.1
11.0
10.6
6.1
Equity and investment fund shares................. 8AA000 A AA
....
6.6
7.5
10.3
11.4
17.3
10.8
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

6.6
....
....
1.3
1.3
....
....
65.7
6.8
....
6.6
....
.1
....
59.0
....
56.3
....
2.7
....
.4
419.2
....
419.2
....
193.8
....
225.4
....
854.5
....
.3
13.1
841.2

7.5
....
....
....
....
....
....
120.7
3.3
....
3.2
....
.2
....
117.3
....
112.7
....
4.6
....
.4
498.7
....
498.7
....
306.5
3.9
188.4
....
968.8
....
.1
14.1
954.7

10.3
....
....
1.9
1.9
....
....
76.4
1.1
....
1.0
....
.1
....
75.3
....
70.7
....
4.6
....
.5
552.8
....
552.8
....
407.4
3.5
141.8
....
1,086.8
....
.1
15.1
1,071.6

11.4
....
....
.4
.4
....
....
221.1
1.3
....
.8
....
.4
....
219.8
....
199.7
....
20.2
....
.3
368.7
....
368.7
....
207.1
....
161.6
....
1,071.9
....
.1
14.9
1,056.9

17.3
....
....
6.7
6.7
....
....
285.5
2.8
....
2.0
....
.8
....
282.6
....
272.8
....
9.8
....
.3
463.3
....
463.3
....
147.1
....
316.2
....
1,604.9
....
115.0
15.5
1,474.3

10.8
....
....
4.7
4.7
....
....
731.2
2.5
....
1.7
....
.7
....
728.7
....
718.4
1.3
9.0
....
4.3
122.1
....
122.1
....
54.3
....
176.4
....
1,350.9
....
113.1
15.4
1,222.4

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
112.7
15.4
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,463.5
871.6
654.6
....
....
....
217.0
....
....
....
33.5
22.4
....
6.5
....
15.9
....
11.0
....
9.1
....
1.9
....

2,915.2
969.4
680.5
....
....
....
288.8
....
3.7
....
38.1
28.7
....
10.6
....
18.1
....
9.4
....
9.4
....
....
....

3,228.6
966.7
655.1
....
....
....
311.6
....
....
....
72.1
24.1
....
13.2
....
10.9
....
48.0
....
48.0
....
....
....

3,448.9
977.6
608.6
....
....
....
369.1
....
....
....
77.4
19.8
....
6.2
....
13.6
....
57.6
....
51.8
....
5.7
....

4,300.6
1,882.8
574.1
....
....
....
1,308.7
....
....
....
92.1
17.4
....
3.8
....
13.5
....
74.7
....
16.6
56.1
2.0
....

4,928.2
2,144.7
890.7
....
4.8
....
1,254.0
....
6.3
....
96.6
17.3
....
3.2
....
14.1
....
79.3
....
13.0
92.2
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
586
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mali

678
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: CFA francs per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
3,558.4
....
22.7
3,535.7
116.6
288.2
3,011.5
119.4
....

....
1,907.7
....
23.9
1,883.8
19.1
353.8
1,262.9
248.0
....

....
2,189.8
....
25.1
2,164.6
21.5
432.3
1,507.4
203.4
....

3.2
2,390.7
....
24.5
2,366.2
63.3
255.7
1,799.1
248.1
....

3.3
2,322.4
....
140.1
2,182.3
58.3
22.2
1,897.6
204.2
....

.9
2,687.9
....
137.6
2,550.2
87.3
201.2
2,005.0
256.8
....

....
....
....
....
....
....
....
....
....
....

3,115.8 1,319.2 1,499.9 1,776.0 1,936.0 2,713.7

....

....
....

556.04

498.07

445.59

471.34

455.34

490.91

506.96

_______________________________________________________________________________________________________________________________
587
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malta

181
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
523.5
625.1
345.9
432.3
600.8
428.9

22.0

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

Balance on goods......................................................... 1A9999 B XN

2005

2,544.5
3,696.6

2006

3,227.5
4,437.6

2007

3,657.4
4,979.0

2008

3,656.6
5,489.6

2009

2,855.8
4,339.8

3,549.6
4,967.1

4,237.6
5,602.3

1,152.2

1,210.1

1,321.6

1,833.0

1,484.0

1,417.6

1,364.7

....
....
....

2,047.8
1,215.6

2,578.9
1,771.1

3,410.6
2,198.0

4,385.6
2,704.2

3,994.4
2,628.9

4,479.3
2,916.9

4,972.5
3,097.0

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,207.8
1,454.9

1,839.8
2,051.1

2,711.4
2,911.5

3,248.4
3,518.6

2,283.7
2,829.6

2,123.4
2,731.8

2,271.1
2,840.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

343.4
299.9

523.5
535.0

882.2
918.9

1,358.2
1,368.7

1,982.3
1,918.7

1,717.6
1,683.0

1,255.3
1,219.0

B. Capital Account........................................... 20999F B AA

....

193.2

193.1

95.3

35.6

141.9

141.6

89.6

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

205.5
12.3

330.3

200.1
7.0

432.0

104.7
9.4

250.6

52.6
17.0

396.7

154.7
12.8

458.9

156.7
15.0

287.3

126.7
37.0

C. Financial Account......................................... 30999F N AA

....

610.7

491.1

732.1

370.9

145.8

157.0

144.0

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

9.8
28.9
38.7

34.0
9.9
43.8

245.1
18.5
263.6

431.4
114.2
317.3

261.8
49.3
212.5

262.9
21.0
283.9

54.2
32.1
22.1

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

693.2
487.2
206.0

1,775.5
1,239.7
535.8

1,031.7
802.3
229.4

923.7
612.9
310.8

940.2
673.9
266.3

1,134.1
874.2
259.9

474.5
270.6
203.9

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

2,608.1
98.4
2,509.7

2,454.1
72.0
2,382.2

532.8
114.7
647.5

266.7
174.0
92.6

2,785.3
40.9
2,744.4

4,223.6
57.8
4,165.9

4,252.5
10.3
4,262.8

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

36.1
35.5
.6

18.5
9.1
9.4

.4
.1
.4

254.1
13.3
240.8

36.0
1.0
37.0

7.5
29.6
22.1

.6
7.1
7.7

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

23.9
19.2
4.7

30.3
51.3
21.0

172.1
186.6
358.7

449.0
52.9
501.9

154.1
3.5
150.7

27.0
57.1
84.1

37.8
17.9
55.8

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

2,805.2
....
2,805.2

4,075.3
....
4,075.3

10,288.1
....
10,288.1

6,656.6
....
6,656.6

5,128.3
....
5,128.3

614.9
....
614.9

1,987.2
....
1,987.2

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

5,308.8
....
5,308.8

5,199.3
....
5,199.3

9,528.3
....
9,528.3

6,996.7
....
6,996.7

2,685.4
....
2,685.4

2,546.0
....
2,546.0

1,662.7
....
1,662.7

D. Net Errors and Omissions............................. 40999S N AA

....

63.6

52.3

13.9

166.1

443.2

474.5

13.4

E. Reserves and Related Items.......................... 4Z999S N AA

....

216.8

111.3

495.4

191.9

130.1

30.3

89.6

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

216.8
....
....

111.3
....
....

495.4
....
....

191.9
....
....

130.1
....
....

30.3
....
....

89.6
....
....

Conversion rates: Maltese lirios per U.S.


dollar............................................................. RFZ F B

....

.3458

.3409

.3117

....

....

....

....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Balance on goods and services...................................... 1Z9999 B XN

320.0

567.1

280.4

402.3

613.6

59.0

109.1

309.2

481.5

151.6

421.8

25.8

118.5

664.3

313.1

144.9

463.5

444.2

510.7

58.3

67.7

76.3

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
588
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malta

181
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
523.5
625.1
345.9
432.3
600.8
428.9
GOODS AND SERVICES..................................... 1Z9999 B XN
....
320.0
402.3
109.1
151.6
118.5
144.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
4,592.2
5,806.3
7,067.9
8,042.2
6,850.2
8,028.9
....
4,912.2
6,208.7
7,177.1
8,193.8
6,968.7
7,884.0
. . . . 1,152.2 1,210.1 1,321.6 1,833.0 1,484.0 1,417.6
....
2,544.5 3,227.5 3,657.4 3,656.6 2,855.8 3,549.6
....
2,468.5
3,124.9
3,574.9
3,564.2
2,769.2
3,386.9
....
75.6
100.4
80.2
88.2
84.7
151.4
....
.4
2.2
2.3
4.2
1.9
11.3
....
3,696.6 4,437.6 4,979.0 5,489.6 4,339.8 4,967.1
....
3,675.0
4,404.8
4,942.5
5,452.0
4,311.8
4,915.1
....
21.7
32.8
36.5
37.6
28.0
52.1
....
832.2
807.8 1,212.5 1,681.4 1,365.5 1,562.5
....
2,047.8
2,578.9
3,410.6
4,385.6
3,994.4
4,479.3
....
1,215.6
1,771.1
2,198.0
2,704.2
2,628.9
2,916.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
118.0
110.7
126.8
140.0
109.0
143.4
....
12.8
10.6
7.5
30.7
56.0
60.4
....
312.0
391.8
413.8
515.0
454.8
386.4
168.8
198.8
220.1
254.2
218.3
190.5
....
....
12.0
16.0
14.3
17.6
11.4
7.4
....
131.2
177.0
179.4
243.2
225.0
188.5
....
232.0
294.3
304.7
332.4
301.9
431.3
42.9
42.3
46.7
53.7
74.0
102.8
....
....
144.7
165.6
206.3
248.9
206.5
293.1
....
44.4
86.4
51.6
29.8
21.4
35.4
....
754.9
767.0
965.0 1,082.1
898.9 1,066.5
....
754.9
767.0
965.0
1,082.1
898.9
1,066.5
....
....
....
....
....
....
....
....
268.0
319.7
237.5
307.4
290.7
309.4
....
268.0
319.7
237.5
307.4
290.7
309.4
....
....
....
....
....
....
....
....
862.7 1,309.4 1,905.0 2,648.4 2,531.8 2,883.0
....
....
....
....
....
....
....
....
46.0
40.9
42.9
49.3
47.3
48.4
....
65.4
115.6
235.1
203.6
200.8
273.5
....
48.0
143.5
52.1
44.6
46.4
29.3
....
107.1
101.6
117.4
118.0
102.3
134.0
....
205.3
403.7
703.1
671.0
614.6
477.9
....
361.7
473.4
721.2
1,527.9
1,482.5
1,896.6
....
29.2
30.6
33.2
34.0
37.8
23.3
....
702.8 1,146.5 1,648.4 2,033.7 1,980.2 2,115.7
....
....
....
....
....
....
....
....
97.2
89.8
99.6
129.1
120.2
123.7
....
75.0
122.3
349.7
351.3
184.2
134.7
....
53.7
33.0
87.6
160.2
167.4
96.9
....
64.0
93.7
135.1
212.7
220.2
145.1
....
387.1
779.0
934.0
1,137.4
1,237.8
1,570.7
....
7.8
11.7
16.2
20.1
29.1
25.3
....
18.1
17.0
26.1
23.0
21.4
19.3
....
....
....
....
....
....
....
....
....
....
....

247.1
1,207.8
1,454.9
33.3
21.8
1,174.4
28.4
24.8
22.1
2.8
3.6

211.3
1,839.8
2,051.1
35.3
38.9
1,804.5
15.8
12.2
12.7
.6
3.6

200.1
2,711.4
2,911.5
49.3
44.5
2,662.1
58.5
54.2
59.1
4.9
4.3

270.2
3,248.4
3,518.6
53.3
47.5
3,195.1
30.2
25.5
9.6
16.0
4.6

545.9
2,283.7
2,829.6
52.4
41.8
2,231.3
13.2
7.3
14.1
6.8
5.9

608.4
2,123.4
2,731.8
36.0
39.3
2,087.4
19.9
29.5
7.8
37.2
9.6

2011
22.0
510.7
9,210.0
8,699.3
1,364.7
4,237.6
4,039.6
184.8
13.2
5,602.3
5,555.1
47.1
1,875.5
4,972.5
3,097.0
....
....
160.2
26.3
421.4

204.9
7.5
209.0

529.9

119.1
381.2
29.7

1,274.5
1,274.5
....
333.3
333.3
....
3,116.4
....
33.2
268.2
27.3
142.4
495.0
2,130.3
20.1
2,207.5
....
124.4
75.4
105.8
163.4
1,694.1
23.2
21.4
569.0
2,271.1
2,840.1
36.5
38.7
2,234.6
27.1
16.4
10.9
5.5
10.6

_______________________________________________________________________________________________________________________________
589
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malta

181
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

624.2
6.6
....
....
617.6
521.8
....
521.8
....
....
....
....
1,433.1
556.1
550.7
455.3
95.4
5.4
24.7
6.4
....
....
18.3
852.3
....
852.3
....
....
....

986.9
10.0
....
....
976.8
801.9
....
801.9
....
....
....
....
2,012.1
583.6
577.0
491.3
85.6
6.6
24.0
5.6
....
....
18.3
1,404.6
....
1,404.6
....
....
....

1,244.2
12.0
....
....
1,232.2
1,359.4
....
1,359.4
....
....
....
....
2,866.9
771.2
759.9
560.3
199.6
11.3
20.9
.6
....
....
20.3
2,074.8
....
2,074.8
....
....
....

1,293.3
16.5
....
....
1,276.7
1,871.6
....
1,871.6
....
....
....
....
3,471.1
879.4
855.1
726.8
128.3
24.3
25.4
.1
....
....
25.3
2,566.3
....
2,566.3
....
....
....

811.0
8.3
....
....
802.7
1,407.2
....
1,407.2
....
....
....
....
2,787.8
1,207.6
1,183.1
757.7
425.4
24.5
32.6
3.7
....
....
29.0
1,547.6
....
1,547.6
....
....
....

981.6
8.4
....
....
973.2
1,125.7
....
1,125.7
....
....
....
....
2,692.4
1,146.0
1,090.3
1,225.3
134.9
55.6
31.5
2.9
....
....
28.6
1,514.9
....
1,514.9
....
....
....

1,074.7
10.2
....
....
1,064.5
1,132.8
....
1,132.8
....
....
....
....
2,801.4
1,204.0
1,157.8
1,015.2
142.6
46.3
36.3
8.3
....
....
27.9
1,561.1
....
1,561.1
....
....
....

....
....
....
....
....
....
....
....
....
....
....

43.5
343.4
154.1
189.3
.2
189.1
299.9
128.9
171.0
6.7
164.3

11.5
523.5
350.0
173.5
.3
173.1
535.0
351.2
183.7
4.2
179.5

36.7
882.2
702.9
179.3
.3
179.0
918.9
704.9
214.0
4.1
209.8

10.5
1,358.2
1,137.3
220.8
.3
220.6
1,368.7
1,119.7
249.0
5.0
244.0

63.6
1,982.3
1,753.6
228.7
.3
228.4
1,918.7
1,686.5
232.2
5.3
226.9

34.6
1,717.6
1,489.3
228.3
.2
228.1
1,683.0
1,452.7
230.4
6.5
223.8

36.3
1,255.3
1,030.0
225.3
.2
225.1
1,219.0
978.6
240.4
6.9
233.5

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

193.2
....
.7
205.5
192.7
....
192.7
12.8
11.6
....
....
....
11.6

193.1
18.2
1.3
181.9
176.9
....
176.9
5.0
5.8
.2
....
.2
5.6

95.3
8.1
1.9
96.5
93.3
....
93.3
3.3
7.5
....
....
....
7.5

35.6
....
12.1
52.5
46.6
....
46.6
6.0
4.9
....
....
....
4.9

141.9
11.0
5.9
143.6
116.4
....
116.4
27.2
6.9
....
....
....
6.9

141.6
9.7
1.0
147.0
115.2
....
115.2
31.7
14.0
....
....
....
14.0

89.6
10.7
2.3
115.9
80.9
....
80.9
35.1
34.7
....
....
....
34.7

FINANCIAL ACCOUNT........................................ 30999S N AA

....

394.0

379.7

236.7

562.8

15.6

187.2

54.3

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

703.0 1,809.4
9.8
34.0
28.9
9.9
26.1
10.5
26.1
10.5
....
....
....
....
2.8
.6
38.7
43.8
27.5
6.3
66.2
50.1
....
....

786.6
245.1
18.5
13.6
13.6
....
....
4.9
263.6
24.3
239.3
....

492.2
431.4
114.2
98.2
98.2
....
....
16.0
317.3
217.3
99.9
....

678.4
261.8
49.3
56.0
56.0
....
....
6.8
212.5
31.8
180.7
....

871.3
262.9
21.0
16.2
16.2
....
....
37.2
283.9
89.7
194.2
....

420.3
54.2
32.1
26.6
26.6
....
....
5.5
22.1
9.2
12.9
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
590
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malta

181
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

693.2
487.2
391.8
391.8
....
....
95.4
206.0
125.2
80.8
....

1,775.5
1,239.7
1,154.1
1,154.1
....
....
85.6
535.8
549.6
13.8
....

1,031.7
802.3
602.7
602.7
....
....
199.6
229.4
232.3
2.9
....

923.7
612.9
484.6
484.6
....
....
128.3
310.8
278.4
32.4
....

940.2
673.9
248.6
248.6
....
....
425.4
266.3
247.5
18.8
....

1,134.1
874.2
1,009.1
1,009.1
....
....
134.9
259.9
240.8
19.2
....

474.5
270.6
128.0
128.0
....
....
142.6
203.9
164.8
39.1
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,571.9
2,608.1
98.4
....
27.0
3.1
74.5
....
2,509.7
....
2,491.7
....
18.0
....
36.1
35.5
....
34.3
....
1.2
....
.6
....
1.6
.2
2.0
....

2,472.7
2,454.1
72.0
....
11.7
....
83.6
....
2,382.2
....
2,228.5
....
153.7
....
18.5
9.1
....
18.6
....
9.4
....
9.4
....
11.7
.1
2.4
....

533.2
532.8
114.7
....
7.0
2.0
119.6
....
647.5
....
671.6
....
24.1
....
.4
.1
....
1.5
....
1.6
....
.4
....
5.0
2.5
2.1
....

12.5
266.7
174.0
....
76.0
....
98.0
....
92.6
215.9
157.4
....
34.1
....
254.1
13.3
....
6.3
....
7.0
....
240.8
....
.6
234.0
6.3
....

2,821.3
2,785.3
40.9
....
24.8
2.0
63.7
....
2,744.4
134.5
2,434.5
....
175.4
....
36.0
1.0
....
4.2
....
5.2
....
37.0
....
5.7
42.2
.6
....

4,216.1
4,223.6
57.8
....
5.1
....
62.9
....
4,165.9
661.6
3,446.1
....
58.1
....
7.5
29.6
....
.1
....
29.5
....
22.1
....
3.6
18.4
.1
....

4,252.0
4,252.5
10.3
....
10.9
....
.6
....
4,262.8
540.3
3,625.7
....
96.8
....
.6
7.1
....
1.1
....
6.0
....
7.7
....
14.8
17.8
4.7
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

23.9
19.2
4.7

30.3
51.3
21.0

172.1
186.6
358.7

449.0
52.9
501.9

154.1
3.5
150.7

27.0
57.1
84.1

37.8
17.9
55.8

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

759.8
. . . . 2,503.6 1,124.0
....
2,805.2 4,075.3 10,288.1
....
....
....
....
....
2,805.2 4,075.3 10,288.1
....
6.9
....
....
....
2,743.2
3,940.7 10,235.5
....
.3
.3
5.0
....
69.2
134.4
57.6
....
....
....
....
....
5,308.8 5,199.3 9,528.3
....
....
....
....
....
....
....
....
....
5,308.8 5,199.3 9,528.3
....
18.6
9.9
7.7
....
5,037.1
5,203.0
9,178.0
....
26.7
34.7
19.4
....
279.9
21.1
362.0
....
....
....
....

340.2
6,656.6
....
6,656.6
1,479.3
7,993.7
5.5
147.7
....
6,996.7
....
....
6,996.7
1,031.1
5,709.0
14.7
271.4
....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

2,442.9 3,160.9 3,649.9


5,128.3
614.9 1,987.2
....
....
....
5,128.3
614.9 1,987.2
243.5
3.0
97.9
5,152.0
662.9 2,235.6
15.2
34.5
18.2
252.0
16.5
132.3
....
....
....
2,685.4 2,546.0 1,662.7
....
....
....
131.4
....
....
2,816.8 2,546.0 1,662.7
318.4
527.8 1,110.2
3,328.5
1,715.8
2,514.9
12.5
8.3
21.1
180.8
310.6
236.9
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

216.8
....
2.0
....
214.8

111.3
1.1
2.9
....
107.4

495.4
8.0
5.8
....
481.6

191.9
49.8
39.5
....
102.6

130.1
2.1
131.7
11.1
11.6

30.3
4.9
.2
3.2
38.6

89.6
1.8
8.2
23.3
103.0

NET ERRORS AND OMISSIONS.........................

....

63.6

52.3

13.9

166.1

443.2

474.5

13.4

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
591
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malta

181
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 27,449.1 36,058.4 50,490.5 52,976.1 53,256.1 61,267.2 59,890.7
Direct investment............................................. 8A9999 A AA
....
1,636.2 1,864.4 2,276.1 2,007.3 2,810.2 3,006.2 3,057.4
Equity and investment fund shares................. 8AA000 A AA
....
854.5 1,022.0 1,053.6
772.7 1,176.4 1,226.0 1,194.7
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

854.5
....
....
781.7
225.4
556.3
....
11,860.6
775.4
....
36.6
....
738.8
....
11,085.2
....
10,346.2
....
739.0
....
49.9
11,320.3
....
11,320.3
.5
10,026.8
.9
1,292.1
....
2,582.1
2.3
45.9
57.5
2,476.5

1,022.0
....
....
842.4
223.7
618.8
....
14,975.6
1,059.9
....
35.0
....
1,024.9
....
13,915.7
....
13,039.6
....
876.1
....
45.3
16,222.6
....
16,222.6
.5
14,638.5
1.3
1,582.3
....
2,950.4
4.1
51.2
60.6
2,834.6

1,053.6
....
....
1,222.5
238.6
983.9
....
15,742.2
1,319.4
....
39.5
....
1,279.9
....
14,422.9
....
13,499.2
....
923.6
....
157.2
28,544.9
....
28,544.9
.6
26,714.7
8.0
1,821.7
....
3,770.0
13.0
59.8
63.6
3,633.6

772.7
....
....
1,234.6
438.3
796.3
....
14,179.0
1,123.8
....
108.2
....
1,015.6
....
13,055.2
1,342.6
10,815.9
....
896.6
....
385.2
36,031.2
....
36,031.2
452.2
33,392.9
2.1
2,183.9
....
373.4
5.1
18.0
62.0
288.3

1,176.4
....
....
1,633.8
660.2
973.7
....
17,924.5
1,213.1
....
76.3
2.2
1,134.6
....
16,711.4
1,551.0
14,047.6
....
1,112.8
....
198.9
31,783.8
....
31,783.8
224.8
29,002.2
17.9
2,538.8
....
538.6
6.5
150.5
51.9
329.7

1,226.0
....
....
1,780.2
632.3
1,147.9
....
20,834.2
1,226.8
....
54.5
2.1
1,170.3
....
19,607.4
2,045.4
16,474.8
....
1,087.2
....
290.4
36,596.2
....
36,596.2
218.4
33,978.1
53.9
2,345.8
....
540.2
4.4
147.6
47.7
340.5

1,194.7
....
....
1,862.6
642.7
1,219.9
....
22,231.9
1,123.0
....
39.8
2.0
1,081.2
....
21,108.9
2,415.4
17,550.1
....
1,143.4
....
389.9
33,699.2
....
33,699.2
286.2
30,913.1
105.7
2,394.3
....
512.2
12.5
139.2
70.4
290.2

. . . . 25,366.2 34,197.7 48,943.5 52,446.1 52,256.6 60,801.0 59,560.4


....
4,945.2 7,248.7 9,259.4 8,661.5 10,519.9 18,039.2 17,618.9
....
4,338.6 6,056.1 7,645.3 7,131.5 8,432.7 15,722.7 15,236.2
....
4,338.6
6,056.1
7,645.3
7,131.5
8,432.7 15,722.7 15,236.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
606.6 1,192.6 1,614.1 1,530.0 2,087.1 2,316.5 2,382.7
....
518.2
1,097.4
1,522.0
1,430.3
1,944.8
2,150.2
2,182.8
....
88.3
95.3
92.1
99.7
142.3
166.3
199.9
....
....
....
....
....
....
....
....
....
487.2
537.5
598.9
766.8
723.4
650.2
585.5
....
214.3
245.4
262.4
220.0
208.3
207.8
159.5
....
....
....
....
....
....
....
....
....
177.3
180.4
185.7
173.8
159.3
117.3
99.9
....
....
....
....
....
....
....
....
....
37.0
65.0
76.7
46.2
49.0
90.5
59.6
....
....
....
....
....
....
....
....
....
272.9
292.1
336.5
546.8
515.1
442.5
426.0
....
....
....
....
....
....
....
....
....
24.2
14.1
20.5
19.0
25.0
19.9
5.1
....
2.9
4.7
8.3
231.7
186.6
138.8
138.0
....
245.9
273.2
307.7
296.1
303.5
283.8
282.9
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
592
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Malta

181
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

....

2005

2006

2007

2008

2009

2010

2011

....
52.1
65.0
116.4
392.0
256.2
411.0
492.9
. . . . 19,881.7 26,346.5 38,968.7 42,625.8 40,757.2 41,700.5 40,863.1
....
....
....
....
....
....
....
....
....
16.1
17.0
17.8
17.4
149.6
146.9
146.5
. . . . 19,865.5 26,329.5 38,950.9 42,608.4 40,607.6 41,553.6 40,716.6
....
20.0
35.2
46.2
943.3
1,190.3
1,642.1
551.2
. . . . 18,596.0 24,960.7 37,148.2 39,649.1 37,193.3 37,485.1 37,618.4
....
210.4
197.4
200.0
175.9
194.1
170.0
183.4
....
1,039.1
1,136.1
1,556.5
1,840.1
2,029.8
2,256.4
2,363.6
....
....
....
....
....
....
....
....
....

2,083.0

1,860.8

1,547.0

530.0

999.4

466.2

330.3

Conversion rates: Maltese lirios per U.S.


dollar (end of period).................................... AEZ F B

....

.3627

.3257

.2916

....

....

....

....

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

80999S N AA

_______________________________________________________________________________________________________________________________
593
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mauritius

684
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
324.0
604.4
433.9
975.8
655.0 1,005.8 1,421.8
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

2,138.4
2,935.2

796.8

1,080.0

1,417.8

2,002.1

1,565.4

1,895.2

2,278.9

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

1,618.1
1,197.7

1,671.3
1,316.9

2,205.2
1,569.4

782.0

2,543.9
1,919.9

1,378.1

2,239.0
1,607.3

933.7

2,695.1
1,978.9

1,179.0

3,295.0
2,500.7

1,484.7

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

142.9
151.3

385.0

373.9
323.8

675.5

816.4
593.3

558.9

819.9
641.7

1,200.0

457.6
402.6

878.7

5,009.0
5,019.1

1,189.1

6,018.8
6,087.4

1,553.3

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

162.3
101.3

179.3
108.2

250.1
125.2

411.2
187.0

413.1
189.4

404.4
221.1

402.8
271.4

B. Capital Account........................................... 20999F B AA

....

1.8

2.7

1.6

1.4

1.9

4.8

1.9

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
1.8

325.7

....
2.7

607.1

....
1.6

435.6

....
1.4

977.2

....
1.9

656.9

....
4.8

....
1.9

C. Financial Account......................................... 30999F N AA

....

142.1

172.8

494.9

943.2

753.7 1,070.1 1,410.5

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

47.0
47.0
....

9.6
9.6
....

59.6
59.6
....

52.4
52.4
....

37.8
37.8
....

20,405.4
18,657.6
1,747.8

24,342.2
22,159.4
2,182.8

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

41.8
41.8
....

106.8
106.8
....

340.8
340.8
....

377.7
377.7
....

256.7
256.7
....

34,248.7
31,224.0
3,024.6

37,748.9
34,001.5
3,747.4

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

41.6
41.6
....

110.5
110.5
....

95.3
95.3
....

92.9
92.9
....

261.1
261.1
....

17,584.3
16,404.6
1,179.7

20,486.6
19,359.6
1,127.0

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

25.4
35.6
10.2

80.6
35.1
45.5

153.7
49.8
104.0

76.8
33.9
110.6

204.8
206.0
1.3

7,767.2
7,820.7
53.6

9,334.5
9,386.6
52.2

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

544.5
1,110.2
1,654.7

675.6
757.7
1,433.3

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

230.9
....
230.9

371.0
....
371.0

2,972.8
....
2,972.8

631.8
....
631.8

357.7
....
357.7

4,527.4
....
4,527.4

2,931.9
....
2,931.9

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

394.3
....
394.3

476.5
....
476.5

3,128.2
....
3,128.2

59.4

155.7
....
155.7

34.0

948.9
....
948.9

1,026.9
....
1,026.9

1,412.3
....
1,412.3

D. Net Errors and Omissions............................. 40999S N AA

....

18.7

294.2

376.6

211.9

287.8

149.5

208.3

E. Reserves and Related Items.......................... 4Z999S N AA

....

165.0

140.1

436.0

177.9

384.7

209.0

195.1

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

165.0
....
....

140.1
....
....

436.0
....
....

177.9
....
....

384.7
....
....

209.0
....
....

195.1
....
....

Conversion rates: Mauritian rupees per U.S.


dollar............................................................. RFZ F B

....

29.496

31.708

31.314

28.453

31.960

30.784

28.706

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

376.5

183.6

2,328.8
3,408.8

725.5

434.3

2,237.9
3,655.7

2,383.9
4,386.0

1,938.5
3,503.9

96.8

2,261.5
4,156.7

1,010.6

59.5

2,646.5
4,925.4

1,423.7

13.2

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
594
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mauritius

684
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
324.0
604.4
433.9
975.8
655.0 1,005.8 1,421.8
GOODS AND SERVICES..................................... 1Z9999 B XN
....
376.5
725.5
782.0 1,378.1
933.7 1,179.0 1,484.7
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,756.5
4,000.1
4,443.1
4,927.8
4,177.5
4,956.5
5,941.5
4,133.0
4,725.7
5,225.0
6,305.9
5,111.2
6,135.6
7,426.2
796.8 1,080.0 1,417.8 2,002.1 1,565.4 1,895.2 2,278.9
2,138.4 2,328.8 2,237.9 2,383.9 1,938.5 2,261.5 2,646.5
2,138.4
2,328.8
2,237.9
2,383.9
1,938.5
2,261.5
2,646.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2,935.2 3,408.8 3,655.7 4,386.0 3,503.9 4,156.7 4,925.4
2,935.2
3,408.8
3,655.7
4,386.0
3,503.9
4,156.7
4,925.4
....
....
....
....
....
....
....
420.4
354.4
635.8
623.9
631.7
716.2
794.2
1,618.1
1,671.3
2,205.2
2,543.9
2,239.0
2,695.1
3,295.0
1,197.7
1,316.9
1,569.4
1,919.9
1,607.3
1,978.9
2,500.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
387.0
365.2
435.2
449.5
339.5
376.8
415.9

317.6
29.0
40.4

297.5
27.0
40.7

359.1
24.2
51.8

369.3
27.7
52.5

269.8
21.5
48.3

300.2
24.3
52.3

324.5
25.7
65.8

524.7

539.7

602.5

647.9

514.3

554.4

615.3

871.0
368.0
503.0
275.0
24.7
250.3
360.1
24.0
3.4
17.1
....
33.9
265.2
2.4
13.9
398.1
10.4
59.6
4.2
4.7
22.5
261.4
30.6
4.7

1,005.3
367.0
638.3
326.8
14.4
312.4
300.8
17.7
6.5
20.8
.2
47.7
197.8
1.9
8.2
450.4
4.3
58.7
12.2
4.4
32.8
299.7
33.5
4.7

1,303.7
450.2
853.5
356.8
24.5
332.3
466.3
7.5
9.4
32.6
.5
57.8
343.0
4.2
11.3
610.0
10.2
62.4
24.2
6.0
32.3
428.3
39.3
7.3

1,453.8
517.2
936.6
451.7
45.0
406.6
640.7
9.7
15.0
47.9
....
89.0
459.0
5.8
14.3
820.4
20.9
70.0
36.2
5.9
34.8
602.6
39.6
10.4

1,120.1
389.2
730.9
354.3
46.5
307.8
779.3
7.2
26.8
72.3
.1
80.4
574.2
4.2
14.1
738.7
11.8
54.5
32.1
5.2
45.2
512.9
55.5
21.6

1,285.3
452.2
833.1
398.0
33.6
364.4
1,033.0
34.9
28.9
55.6
.6
101.5
757.8
14.5
39.2
1,026.4
46.1
64.4
83.3
12.1
62.4
667.4
62.7
28.1

1,488.9
537.0
951.9
400.4
26.8
373.6
1,390.2
49.5
58.0
162.6
2.2
161.1
875.7
35.0
46.1
1,485.0
16.1
79.6
226.4
15.2
87.7
948.1
69.4
42.4

8.5
142.9
151.3
.6
9.2
142.2
4.5
4.5
4.5
....
....

50.1
373.9
323.8
.7
10.1
373.2
2.4
2.4
2.4
....
....

223.1
816.4
593.3
.7
9.9
815.7
4.1
4.1
4.1
....
....

178.2
819.9
641.7
.6
12.7
819.2
6.0
6.0
6.0
....
....

55.0
457.6
402.6
.7
10.3
456.9
25.7
25.7
25.7
....
....

10.0
5,009.0
5,019.1
.8
8.5
5,008.2
3,954.5
3,954.5
3,954.5
....
....

68.6
6,018.8
6,087.4
.5
9.4
6,018.2
4,709.8
4,709.8
4,709.8
....
....

20.4
246.8
257.5

20.4
256.6
262.7

27.2
283.7
291.6

36.9
341.4
269.6

29.6
247.0
237.7

25.2
279.1
250.1

27.4
309.8
278.1

_______________________________________________________________________________________________________________________________
595
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mauritius

684
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3.4
3.4
....
....
....
134.4
....
134.4
....
....
....
....
142.1
33.6
33.6
33.6
....
....
17.0
17.0
....
....
....
91.4
....
91.4
....
....
....

3.6
3.6
....
....
....
367.2
....
367.2
....
....
....
....
313.8
88.1
88.1
88.1
....
....
23.0
23.0
....
....
....
202.7
....
202.7
....
....
....

9.9
9.9
....
....
....
801.6
....
801.6
....
....
....
....
583.3
90.1
90.1
90.1
....
....
65.3
65.3
....
....
....
427.9
....
427.9
....
....
....

10.0
10.0
....
....
....
803.3
....
803.3
....
....
....
....
629.0
163.2
163.2
163.2
....
....
62.3
62.3
....
....
....
403.4
....
403.4
....
....
....

26.9
26.9
....
....
....
404.3
....
404.3
....
....
....
....
392.3
194.7
194.7
194.7
....
....
54.9
54.9
....
....
....
142.7
....
142.7
....
....
....

353.7
353.7
....
....
....
700.0
....
700.0
....
....
....
....
5,010.6
4,415.7
4,415.7
4,415.7
....
....
331.6
331.6
....
....
....
263.3
....
263.3
....
....
....

459.4
459.4
....
....
....
849.0
....
849.0
....
....
....
....
6,078.0
5,355.1
5,355.1
5,355.1
....
....
389.3
389.3
....
....
....
333.6
....
333.6
....
....
....

....
....
....
....
....
....
....
....
....
....
....

61.0
162.3
16.4
145.9
....
145.9
101.3
5.9
95.4
....
95.4

71.1
179.3
17.7
161.6
....
161.6
108.2
6.1
102.1
....
102.1

124.9
250.1
22.8
227.3
....
227.3
125.2
5.3
119.9
....
119.9

224.2
411.2
91.7
319.5
....
319.5
187.0
5.1
182.0
....
182.0

223.7
413.1
115.2
297.9
....
297.9
189.4
12.6
176.8
....
176.8

183.3
404.4
66.6
337.8
....
337.8
221.1
10.7
210.4
....
210.4

131.5
402.8
86.4
316.5
....
316.5
271.4
1.5
269.8
....
269.8

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

1.8
....
....
....
....
....
....
....
1.8
....
....
....
1.8

2.7
....
....
....
....
....
....
....
2.7
....
....
....
2.7

1.6
....
....
....
....
....
....
....
1.6
....
....
....
1.6

1.4
....
....
....
....
....
....
....
1.4
....
....
....
1.4

1.9
....
....
....
....
....
....
....
1.9
....
....
....
1.9

4.8
....
....
....
....
....
....
....
4.8
....
....
....
4.8

1.9
....
....
....
....
....
....
....
1.9
....
....
....
1.9

FINANCIAL ACCOUNT........................................ 30999S N AA

....

307.0

312.9

58.9

765.3

369.1

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

5.2
47.0
47.0
47.0
47.0
....
....
....
....
....
....
....

97.2
9.6
9.6
9.6
9.6
....
....
....
....
....
....
....

281.2
59.6
59.6
59.6
59.6
....
....
....
....
....
....
....

325.3
52.4
52.4
52.4
52.4
....
....
....
....
....
....
....

218.8 13,843.3 13,406.7


37.8 20,405.4 24,342.2
37.8 18,657.6 22,159.4
37.8 18,657.6 22,159.4
37.8 18,657.6 22,159.4
....
....
....
....
....
....
....
....
....
....
1,747.8 2,182.8
....
1,747.8
2,182.8
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

861.1 1,215.4

_______________________________________________________________________________________________________________________________
596
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mauritius

684
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

....
....
....
....
....
....
....
....
....
....
....

41.8
41.8
41.8
41.8
....
....
....
....
....
....
....

106.8
106.8
106.8
106.8
....
....
....
....
....
....
....

340.8
340.8
340.8
340.8
....
....
....
....
....
....
....

377.7
377.7
377.7
377.7
....
....
....
....
....
....
....

256.7 34,248.7 37,748.9


256.7 31,224.0 34,001.5
256.7 31,224.0 34,001.5
256.7 31,224.0 34,001.5
....
....
....
....
....
....
....
....
....
....
3,024.6 3,747.4
....
3,024.6
3,747.4
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

16.2
41.6
41.6
....
....
....
41.6
....
....
....
....
....
....
....
25.4
35.6
....
....
....
35.6
....
10.2
2.1
1.1
9.3
....
....

29.9
110.5
110.5
....
....
....
110.5
....
....
....
....
....
....
....
80.6
35.1
....
....
....
35.1
....
45.5
....
46.0
.6
....
....

58.4
95.3
95.3
....
....
....
95.3
....
....
....
....
....
....
....
153.7
49.8
....
....
....
49.8
....
104.0
1.5
....
102.5
....
....

169.7
92.9
92.9
....
....
....
92.9
....
....
....
....
....
....
....
76.8
33.9
....
....
....
33.9
....
110.6
2.7
....
107.9
....
....

56.3 9,817.1 11,152.1


261.1 17,584.3 20,486.6
261.1 16,404.6 19,359.6
....
....
....
....
55.5
37.9
....
....
....
261.1 16,349.1 19,321.7
....
....
....
....
1,179.7 1,127.0
....
....
....
....
555.1
378.9
....
....
....
....
624.6
748.2
....
....
....
204.8 7,767.2 9,334.5
206.0 7,820.7 9,386.6
....
....
....
....
....
....
....
....
....
206.0
7,820.7
9,386.6
....
....
....
1.3
53.6
52.2
....
....
....
....
....
....
1.3
5.2
5.5
....
48.4
57.7
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

544.5
1,110.2
1,654.7

675.6
757.7
1,433.3

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

163.4
230.9
....
230.9
....
195.5
....
35.4
....
394.3
....
....
394.3
....
7.1
10.3
377.0
....

105.5
371.0
....
371.0
....
338.6
....
32.4
....
476.5
....
....
476.5
....
5.0
19.7
501.3
....

155.3
2,972.8
....
2,972.8
....
2,852.6
....
120.3
....
3,128.2
....
....
3,128.2
....
2,633.7
46.1
448.4
....

787.5
631.8
....
631.8
....
616.2
....
15.6
....
155.7
....
....
155.7
....
259.1
54.5
360.3
....

591.2
357.7
....
357.7
....
362.7
....
5.0
....
948.9
....
126.6
822.4
....
307.3
152.8
362.2
....

3,500.6
4,527.4
....
4,527.4
....
3,830.3
....
697.1
....
1,026.9
....
....
1,026.9
....
1,455.2
183.8
612.2
....

1,519.7
2,931.9
....
2,931.9
....
2,614.2
....
317.8
....
1,412.3
....
....
1,412.3
....
2,062.5
187.3
837.5
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

165.0
....
.6
6.2
159.4

140.1
....
.5
10.2
130.4

436.0
....
.3
5.2
440.9

177.9
....
.5
9.1
168.3

384.7
73.5
126.7
....
184.5

209.0
....
.2
13.3
195.9

195.1
....
.2
14.8
180.1

NET ERRORS AND OMISSIONS.........................

....

18.7

294.2

376.6

211.9

287.8

149.5

208.3

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

2010

2011

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
597
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mauritius

684
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
2,139
2,485
3,562
11,715 314,512 371,870
Direct investment............................................. 8A9999 A AA
....
....
....
....
. . . . 162,433 163,138
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
. . . . 130,391 133,934
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
773
....
773
....
730
....
43
....
1,366
26
26
25
1,289

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,184
....
1,184
....
1,102
....
82
....
1,301
31
28
16
1,226

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,740
....
1,740
....
1,683
....
57
....
1,822
41
29
11
1,740

....
....
....
....
....
....
....
1,435
350
....
117
....
232
....
1,085
....
1,076
....
9
....
1,223
7,271
....
7,271
....
7,233
....
39
....
1,785
43
29
20
1,693

130,391
....
....
32,042
32,042
....
....
124,885
84,344
....
119
....
84,225
....
40,541
....
1,513
....
39,029
....
3,019
21,872
....
21,872
....
12,948
....
8,924
....
2,303
125
157
21
2,001

133,934
....
....
29,204
29,204
....
....
176,948
127,320
....
106
....
127,214
....
49,628
....
2,453
....
47,175
....
6,449
22,734
....
22,734
....
14,084
....
8,650
....
2,601
160
154
34
2,253

415,544
233,053
135,269
135,269
....
....
97,784
97,784
....
....
128,886
115,546
....
258
....
115,288
....
13,340
....
2,103
....
11,237
....
9,343
41,483
....
41,483
....
15,001
....
26,483
....
2,778
196
153
48
2,381

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,256
....
....
....
....
....
....
....
....
....
82
80
....
....
....
80
....
2
....
....
1
1
....

1,158
....
....
....
....
....
....
....
....
....
150
104
....
....
....
104
....
46
....
....
....
46
....

1,348
....
....
....
....
....
....
....
....
....
237
181
....
....
....
181
....
56
....
....
....
56
....

9,570
....
....
....
....
....
....
....
....
....
260
188
....
....
....
188
....
71
....
12
9
50
....

243,948
178,851
80,579
80,579
....
....
98,272
98,272
....
....
47,757
15,295
....
....
....
15,295
....
32,463
....
6
9
32,448
....

279,132
185,269
98,821
98,821
....
....
86,448
86,448
....
....
54,418
16,010
....
....
....
16,010
....
38,407
....
8
3
38,396
....

313,449
201,084
75,353
75,353
....
....
125,731
125,731
....
....
49,790
46,456
....
....
....
46,456
....
3,334
....
222
9
3,103
....

_______________________________________________________________________________________________________________________________
598
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mauritius

684
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Mauritian rupees per U.S.


dollar............................................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
1,174
....
23
1,151
....
252
286
614
....

....
1,008
....
24
984
....
242
260
482
....

....
1,111
....
25
1,086
....
329
343
413
....

1,239
8,071
....
24
8,047
....
7,343
655
49
....

2,999
14,341
....
152
14,189
2
5,754
561
7,872
....

6,431
33,015
....
149
32,866
4
6,187
733
25,941
....

9,342
53,233
....
149
53,084
5
7,230
920
44,929
....

....

883

1,327

2,214

2,145

70,564

92,738

102,095

....

30.667

34.337

28.216

31.756

30.291

30.391

29.326

_______________________________________________________________________________________________________________________________
599
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mexico

273
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
5,876
6,054 11,083 17,348
5,078
4,469

11,086

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

214,633
222,295

250,319
256,631

6,312

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

15,666
20,964

15,827
22,260

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

27,998

31,989

37,474

42,803

26,657

25,993

34,047

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

22,179
57

26,022
88

26,498
108

25,583
128

21,639
60

21,609
86

23,139
178

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

5,876

....
....

6,054

....
....

11,083

....
....

17,348

....
....

5,078

....
....

4,469

....
....

11,086

C. Financial Account......................................... 30999F N AA

....

19,635

9,374

24,382

25,100

30,088

42,810

41,703

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

6,474
4,702
1,772

5,758
5,452
307

8,256
4,736
3,520

1,157
1,638
481

8,464
7,569
895

16,217
15,286
930

10,685
5,807
4,879

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

24,385
16,985
7,400

20,181
14,006
6,175

31,785
25,662
6,123

27,239
19,661
7,578

16,316
12,163
4,153

20,868
16,541
4,327

20,357
16,178
4,179

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

10,792
....
10,792

2,051
....
2,051

13,285
....
13,285

7,092
....
7,092

24,839
....
24,839

7,330
....
7,330

1,525
....
1,525

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

7,713
3,353
4,360

137
2,805
2,668

13,349
482
13,831

4,826
3,503
8,329

15,275
4,169
11,106

37,604
641
36,962

40,944
6,244
47,188

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

1,522
....
1,522

4,271
....
4,271

546
....
546

725
....
725

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

5,847
....
5,847

4,110
....
4,110

10,302
....
10,302

15,364
....
15,364

14,967
....
14,967

28,358
....
28,358

5,186
....
5,186

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

1,044
....
1,044

13,759

976
....
976

3,320

11,092
....
11,092

3,986
....
3,986

12,564
....
12,564

36,789
....
36,789

4,527
....
4,527

D. Net Errors and Omissions............................. 40999S N AA

....

4,063

1,427

E. Reserves and Related Items.......................... 4Z999S N AA

....

9,696

1,892

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

9,711
....
15

1,907
....
15

Conversion rates: Mexican pesos per U.S.


dollar............................................................. RFZ F B

....

10.8979

10.8992

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

7,663

2006

2007

272,293
282,604

2008

2009

10,311

291,886
309,501

17,615

229,975
234,901

298,860
301,744

349,946
351,116

17,149
23,496

17,575
24,697

14,730
23,188

15,167
25,295

15,298
29,497

4,926

2,884

1,171

12,960

12,745

16,658

24,737

13,384

13,012

15,370

5,110
20,148

5,661
24,904

7,577
28,392

8,417
26,483

6,934
20,208

7,583
20,564

9,165
27,841

13,299

7,752

25,010

38,341

30,617

2,504

608

20,189

17,546

1,031

10,795

8,360

4,821

20,795

29,585

10,809
....
14

8,374
....
14

4,835
....
14

20,808
....
13

29,599
....
13

10.9282

11.1297

13.5135

12.6360

12.4233

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
600
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mexico

273
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
5,861
6,040 11,069 17,334
5,064
4,456
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 12,960 12,745 16,658 24,737 13,384 13,012
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

230,299
243,259
7,663
214,633
214,319
....
314
222,295
222,172
123
5,298
15,666
20,964
....
....
....
141
1,353

266,146
278,891
6,312
250,319
249,276
....
1,043
256,631
256,360
271
6,433
15,827
22,260
....
....
....
145
1,518

289,442
306,100
10,311
272,293
270,715
....
1,578
282,604
282,228
376
6,346
17,149
23,496
....
....
....
197
1,512

309,462
334,199
17,615
291,886
289,213
....
2,673
309,501
309,165
336
7,122
17,575
24,697
....
....
....
172
1,767

244,705
258,089
4,926
229,975
225,971
....
4,004
234,901
234,748
153
8,458
14,730
23,188
....
....
....
141
1,338

314,027
327,039
2,884
298,860
293,107
....
5,753
301,744
301,570
174
10,128
15,167
25,295
....
....
....
120
1,061

11,073
15,370
365,243
380,614
1,171
349,946
342,225
....
7,721
351,116
350,904
213
14,200
15,298
29,497
....
....
....
136
849

....

....

....

....

....

....

....

8,117

8,940

9,936

11,865

9,303

10,774

12,120

11,803
716
11,088
7,600
827
6,773
2,510
....
1,550
....
....
548
....
373
39
5,106
....
2,340
550
111
119
1,186
275
525

12,177
732
11,445
8,108
806
7,303
2,132
....
1,263
....
....
466
....
383
20
5,067
....
1,977
374
503
107
1,277
326
504

12,919
772
12,147
8,462
979
7,483
2,718
....
1,999
....
....
400
....
308
11
4,901
....
2,764
270
....
99
672
259
837

13,370
767
12,602
8,568
1,051
7,517
2,439
....
2,010
....
....
336
....
87
6
4,093
....
2,732
116
....
94
389
227
534

11,513
627
10,886
7,207
990
6,217
1,879
....
1,594
....
....
203
....
80
3
6,536
....
3,199
419
....
72
384
272
2,190

11,992
751
11,241
7,255
1,096
6,159
2,115
....
1,831
....
....
202
....
80
2
7,147
....
2,626
548
....
80
302
272
3,319

11,869
872
10,997
7,832
1,348
6,484
2,580
....
2,262
....
....
237
....
80
1
9,409
....
4,086
452
....
112
244
272
4,241

....
....
....
....
....
....
....
....
....
....
....

15,038
5,110
20,148
1,054
....
4,056
1,046
1,046
70
975
....

19,244
5,661
24,904
976
....
4,685
171
171
171
....
....

20,816
7,577
28,392
821
....
6,756
625
625
129
497
....

18,066
8,417
26,483
897
....
7,520
1,505
1,505
1,121
385
....

13,273
6,934
20,208
769
....
6,165
1,929
1,929
1,898
31
....

12,981
7,583
20,564
776
....
6,806
3,430
3,430
2,635
795
....

18,676
9,165
27,841
786
....
8,379
4,828
4,828
3,086
1,742
....

998
355

1,351
6,374
392

1,152

366

1,279
7,301
359

1,136

376

1,456
8,172
307

1,356

411

1,678
9,841
346

1,029

309

1,530
7,452
320

656

405

1,783
8,584
407

401

448

1,902
10,050
168

_______________________________________________________________________________________________________________________________
601
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mexico

273
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
3,011
....
3,011
....
....
....
....
20,148
7,888
7,888
3,857
4,032
....
625
....
....
....
625
11,634
....
11,634
....
....
....

....
....
....
....
....
4,514
....
4,514
....
....
....
....
24,904
10,174
10,174
2,425
7,749
....
887
....
....
....
887
13,844
....
13,844
....
....
....

....
....
....
....
....
6,130
....
6,130
....
....
....
....
28,392
12,098
12,098
3,987
8,111
....
1,318
....
....
....
1,318
14,976
....
14,976
....
....
....

....
....
....
....
....
6,015
....
6,015
....
....
....
....
26,483
10,349
10,349
2,300
8,049
....
1,908
....
....
....
1,908
14,225
....
14,225
....
....
....

....
....
....
....
....
4,236
....
4,236
....
....
....
....
20,208
7,902
7,902
3,516
4,386
....
1,791
....
....
....
1,791
10,515
....
10,515
....
....
....

....
....
....
....
....
3,376
....
3,376
....
....
....
....
20,564
6,591
6,591
3,909
2,682
....
2,891
....
....
....
2,891
11,082
....
11,082
....
....
....

....
....
....
....
....
3,551
....
3,551
....
....
....
....
27,841
10,294
10,294
3,419
6,875
....
4,331
....
....
....
4,331
13,216
....
13,216
....
....
....

....
....
....
....
....
....
....
....
....
....
....

22,137
22,194
54
22,141
21,688
452
57
....
57
....
57

25,949
26,037
53
25,983
25,567
417
88
....
88
....
88

26,405
26,513
53
26,460
26,059
401
108
....
108
....
108

25,469
25,597
52
25,544
25,145
399
128
....
128
....
128

21,593
21,653
52
21,601
21,306
295
60
....
60
....
60

21,537
21,623
52
21,571
21,304
267
86
....
86
....
86

22,974
23,152
52
23,100
22,803
297
178
....
178
....
178

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

9,924

7,467

13,573

16,726

25,253

22,002

12,105

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

17,911
6,474
4,702
3,726
3,726
....
....
975
1,772
1,772
....
....

14,422
5,758
5,452
5,452
5,452
....
....
....
307
307
....
....

23,529
8,256
4,736
4,239
4,239
....
....
497
3,520
3,520
....
....

26,082
1,157
1,638
1,253
1,253
....
....
385
481
481
....
....

7,851
8,464
7,569
7,538
7,538
....
....
31
895
895
....
....

4,652
16,217
15,286
14,492
14,492
....
....
795
930
930
....
....

9,672
10,685
5,807
4,065
4,065
....
....
1,742
4,879
4,879
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
602
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mexico

273
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

24,385
16,985
12,954
12,954
....
....
4,032
7,400
7,400
....
....

20,181
14,006
6,257
6,257
....
....
7,749
6,175
6,175
....
....

31,785
25,662
17,551
17,551
....
....
8,111
6,123
6,123
....
....

27,239
19,661
11,612
11,612
....
....
8,049
7,578
7,578
....
....

16,316
12,163
7,777
7,777
....
....
4,386
4,153
4,153
....
....

20,868
16,541
13,860
13,860
....
....
2,682
4,327
4,327
....
....

20,357
16,178
9,303
9,303
....
....
6,875
4,179
4,179
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,079
10,792
....
....
....
....
....
....
10,792
....
....
....
10,792
....
7,713
3,353
....
....
....
3,353
....
4,360
....
81
1,224
3,216
....

1,914
2,051
....
....
....
....
....
....
2,051
....
....
....
2,051
....
137
2,805
....
....
....
2,805
....
2,668
....
273
7,004
4,062
....

63
13,285
....
....
....
....
....
....
13,285
....
....
....
13,285
....
13,349
482
....
....
....
482
....
13,831
....
221
4,743
8,866
....

11,918
7,092
....
....
....
....
....
....
7,092
....
....
....
7,092
....
4,826
3,503
....
....
....
3,503
....
8,329
....
20
3,901
4,448
....

9,565
24,839
....
....
....
....
....
....
24,839
....
....
....
24,839
....
15,275
4,169
....
....
....
4,169
....
11,106
....
167
5,416
5,522
....

30,274
7,330
....
....
....
....
....
....
7,330
....
....
....
7,330
....
37,604
641
....
....
....
641
....
36,962
....
421
27,659
8,882
....

42,469
1,525
....
....
....
....
....
....
1,525
....
....
....
1,525
....
40,944
6,244
....
....
....
6,244
....
47,188
....
1,980
32,671
12,537
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

1,522
....
1,522

4,271
....
4,271

546
....
546

725
....
725

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,803
5,847
....
5,847
....
265
....
6,112
....
1,044
....
....
1,044
....
2,199
1,494
339
....

3,134
4,110
....
4,110
....
743
....
4,853
....
976
....
....
976
....
3,385
1,497
913
....

790
10,302
....
10,302
....
4,309
....
5,993
....
11,092
....
....
11,092
....
3,229
1,643
6,220
....

11,378
15,364
....
15,364
....
6,897
....
8,468
....
3,986
....
....
3,986
....
3,273
1,982
5,277
....

27,530
14,967
....
14,967
....
6,355
....
8,612
....
12,564
....
4,000
8,564
7,229
2,068
5,353
6,086
....

8,431
28,358
....
28,358
....
20,487
....
7,871
....
36,789
....
....
36,789
3,221
30,152
4,268
5,590
....

9,712
5,186
....
5,186
....
3,985
....
9,171
....
4,527
....
....
4,527
....
1,695
3,339
6,171
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

9,711
13
18
229
9,936

1,907
11
13
275
2,180

10,809
15
39
24
10,858

8,374
60
69
280
7,964

4,835
68
3,985
327
454

20,808
60
120
112
20,876

29,599
4,454
229
1,407
23,967

NET ERRORS AND OMISSIONS.........................

....

4,063

1,427

2,504

608

20,189

17,546

1,031

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
603
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mexico

273
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 231,344 247,521 295,367 293,146 296,555 376,024
Direct investment............................................. 8A9999 A AA
....
62,760
70,555
83,933
65,349
81,216 104,302
Equity and investment fund shares................. 8AA000 A AA
....
62,760
70,555
83,933
65,349
81,216 104,302
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

62,760
....
....
....
....
....
....
36,672
....
....
....
....
....
....
36,672
....
3,903
....
32,769
....
....
57,802
....
57,802
....
20,023
....
37,779
....
74,110
56
445
594
73,015

70,555
....
....
....
....
....
....
38,723
....
....
....
....
....
....
38,723
....
4,800
....
33,923
....
....
61,912
....
61,912
....
20,108
....
41,804
....
76,330
59
482
340
75,449

83,933
....
....
....
....
....
....
52,008
....
....
....
....
....
....
52,008
....
2,844
....
49,164
....
....
72,214
....
72,214
....
24,799
....
47,415
....
87,212
99
466
334
86,313

65,349
....
....
....
....
....
....
44,916
....
....
....
....
....
....
44,916
....
3,205
....
41,711
....
....
87,578
....
87,578
....
30,864
....
56,714
....
95,302
172
519
613
93,998

81,216
....
....
....
....
....
....
42,834
....
....
....
....
....
....
42,834
....
3,218
....
39,616
....
....
72,612
....
72,612
....
25,314
....
47,298
....
99,893
302
4,525
961
94,104

104,302
....
....
....
....
....
....
50,164
....
....
....
....
....
....
50,164
....
3,411
....
46,753
....
....
100,970
....
100,970
....
44,764
....
56,206
....
120,588
322
4,325
1,057
114,884

418,359
113,828
113,828
113,828
....
....
....
....
....
....
48,640
....
....
....
....
....
....
48,640
....
4,131
....
44,509
....
....
106,155
....
106,155
....
41,385
....
64,770
....
149,736
5,217
4,084
2,422
138,013

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

517,791
225,947
225,947
225,947
....
....
....
....
....
....
208,826
106,555
....
....
....
106,555
....
102,271
....
397
54,332
47,543
....

598,782
256,050
256,050
256,050
....
....
....
....
....
....
256,218
154,239
....
....
....
154,239
....
101,979
....
670
48,738
52,571
....

665,259
289,859
289,859
289,859
....
....
....
....
....
....
274,394
154,445
....
....
....
154,445
....
119,949
....
892
55,668
63,389
....

612,049
230,790
230,790
230,790
....
....
....
....
....
....
273,187
148,697
....
....
....
148,697
....
124,490
....
872
53,309
70,309
....

626,211
277,898
277,898
277,898
....
....
....
....
....
....
239,854
134,384
....
....
....
134,384
....
105,470
....
1,039
59,059
45,372
....

780,794
330,161
330,161
330,161
....
....
....
....
....
....
304,872
161,334
....
....
....
161,334
....
143,538
....
1,460
88,003
54,074
....

755,408
303,059
303,059
303,059
....
....
....
....
....
....
309,720
129,257
....
....
....
129,257
....
180,463
....
3,440
110,497
66,525
....

_______________________________________________________________________________________________________________________________
604
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mexico

273
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Mexican pesos per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
83,017
....
415
82,603
....
10,743
4,538
67,322
....

....
86,515
....
436
86,078
....
14,129
3,041
68,909
....

....
101,006
....
458
100,547
....
17,357
4,685
78,505
....

....
108,073
....
447
107,626
....
14,085
6,672
86,869
....

....
108,459
....
4,470
103,990
3,221
15,820
12,312
68,629
....

....
145,762
....
4,391
141,371
4,008
45,972
16,604
74,787
....

....
142,629
....
4,377
138,252
4,008
45,317
19,921
69,005
....

. . . . 286,446 351,262 369,892 318,903 329,656 404,771 337,049


....

10.7777

10.8810

10.8662

13.5383

13.0587

12.3571

13.9904

_______________________________________________________________________________________________________________________________
605
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Moldova

921
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
247.7
391.1
723.3 1,034.7
516.1
557.0

868.9

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

1,749.0
4,715.4

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

801.4

1,200.7

1,903.4

2,611.6

1,667.3

1,775.9

2,306.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

596.8
43.2

859.6
50.0

1,245.1
65.1

1,688.4
111.5

1,254.6
103.4

1,308.3
89.4

1,537.5
100.2

B. Capital Account........................................... 20999F B AA

....

16.9

22.8

8.0

14.6

17.5

28.4

29.7

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

5.2
22.1

264.6

6.1
28.9

413.9

7.0
14.9

9.3
23.9

1,049.3

12.2
29.7

533.6

13.4
41.8

585.4

19.3
49.0

898.6

C. Financial Account......................................... 30999F N AA

....

200.5

359.5 1,013.4 1,286.5

108.1

414.5

770.6

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

.2
.2
.1

.7
.8
1.6

12.1
12.6
.5

31.2
16.1
15.1

3.4
8.2
11.6

7.6
3.4
4.2

33.8
20.2
13.6

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

190.7
107.0
83.7

258.7
160.6
98.1

536.0
340.2
195.8

726.6
540.4
186.2

135.2
150.0
14.9

201.5
171.5
30.0

294.2
238.3
55.9

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1.2
....
1.2

.2
.2
....

.1
.1
....

....
....
....

.3
.3
....

.2
.2
....

.4
.4
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

5.8
.6
6.4

4.6
1.8
6.4

4.4
1.7
6.2

6.4
11.4
4.9

5.6
2.4
8.0

5.8
5.8
....

5.1
5.1
.1

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

1.6
1.7
.1

.2
.1
.3

.5
.5
.1

.9
.1
1.0

.3
.1
.4

.6
.6
....

.2
....
.2

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

78.2
....
78.2

49.4
....
49.4

35.3
....
35.3

52.1
....
52.1

210.6
....
210.6

75.5
....
75.5

91.1
....
91.1

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

96.3
....
96.3

64.1

154.0
....
154.0

54.4

459.1
....
459.1

282.1

531.6
....
531.6

185.5
....
185.5

140.2
....
140.2

414.1
....
414.1

D. Net Errors and Omissions............................. 40999S N AA

....

178.3

81.9

107.8

59.1

31.6

28.2

85.8

E. Reserves and Related Items.......................... 4Z999S N AA

....

114.2

27.5

389.9

296.2

393.9

142.6

42.2

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

128.6
21.7
36.1

140.7
41.1
72.1

528.9
11.2
127.8

452.0
13.5
142.3

202.1
16.3
208.1

294.4
174.6
262.4

278.1
153.5
166.8

Conversion rates: Moldovan lei per U.S.


dollar............................................................. RFZ F B

....

12.600

13.131

12.140

10.392

11.110

12.369

11.739

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

886.1
2,118.8

2006

787.0
2,434.0

2007

1,026.0
3,409.0

2008

1,179.7
4,526.9

2009

929.8
2,986.6

1,175.0
3,491.8

1,232.7

1,647.1

2,383.0

3,347.2

2,056.8

2,316.8

2,966.5

446.1
425.7

535.1
491.3

719.5
656.3

970.0
839.2

785.7
717.5

803.1
769.4

980.6
886.1

1,212.2

1,603.2

2,319.8

3,216.4

1,988.6

2,283.0

2,872.0

539.3
128.4

605.9
203.4

710.1
293.7

906.2
301.4

592.1
270.8

767.2
260.0

927.5
361.6

731.3

237.1

425.5

170.9

128.1

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
606
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Moldova

921
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
225.8
386.4
671.1
972.8
446.7
449.0
790.4
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,212.2 1,603.2 2,319.8 3,216.4 1,988.6 2,283.0 2,872.0
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
1,332.2
1,322.1
1,745.5
2,149.8
1,715.5
1,978.1
2,729.6
....
2,544.5
2,925.3
4,065.2
5,366.1
3,704.1
4,261.1
5,601.6
. . . . 1,232.7 1,647.1 2,383.0 3,347.2 2,056.8 2,316.8 2,966.5
....
886.1
787.0 1,026.0 1,179.7
929.8 1,175.0 1,749.0
....
886.1
787.0
1,026.0
1,179.7
929.6
1,174.8
1,748.4
....
....
....
....
....
....
....
....
....
....
....
....
....
.3
.3
.6
....
2,118.8 2,434.0 3,409.0 4,526.9 2,986.6 3,491.8 4,715.4
....
2,118.4
2,433.6
3,408.2
4,526.6
2,986.6
3,491.7
4,714.9
....
.4
.5
.7
.3
....
.1
.6
....
20.5
43.8
63.2
130.8
68.2
33.7
94.5
....
446.1
535.1
719.5
970.0
785.7
803.1
980.6
....
425.7
491.3
656.3
839.2
717.5
769.4
886.1
....
46.6
67.5
90.5
124.8
111.7
102.1
98.0
....
.7
3.0
5.4
1.6
3.3
.3
3.1
....
.6
.5
.6
1.3
.9
.7
1.1
....
5.3
.6
.8
.6
1.4
5.8
5.1
....
174.2
204.1
272.2
376.1
266.6
259.6
358.9
34.7
32.8
57.5
76.7
66.8
59.2
66.9
....
....
127.7
156.6
192.9
259.2
167.8
163.9
244.1
....
11.7
14.7
21.8
40.2
32.0
36.4
47.9
....
150.4
174.6
248.3
328.1
258.9
287.6
369.8
28.9
33.9
57.2
71.4
63.9
63.7
73.7
....
....
99.8
119.3
163.4
222.0
158.2
185.2
247.9
....
21.8
21.4
27.7
34.7
36.8
38.6
48.3
....
103.2
116.6
170.6
216.4
172.5
172.7
195.0
....
23.9
30.3
43.3
60.9
56.3
52.2
51.4
....
79.3
86.4
127.3
155.6
116.2
120.5
143.6
....
141.2
189.6
232.6
287.7
243.0
260.3
299.8
....
82.7
100.2
107.4
134.8
111.6
124.7
148.7
....
58.6
89.3
125.2
152.9
131.5
135.6
151.0
....
121.6
146.4
185.6
251.4
234.0
268.1
327.6
....
6.1
10.7
15.0
15.4
26.8
14.5
17.3
....
.6
.8
2.1
4.0
2.1
1.2
1.5
....
3.2
4.0
4.1
4.6
3.1
3.1
4.6
....
1.6
1.7
6.2
3.9
4.3
4.9
5.3
....
58.4
72.1
91.5
121.7
121.9
144.4
165.9
....
36.2
38.3
47.4
81.4
54.0
62.1
90.6
....
.8
.6
.3
.4
....
.1
.3
....
14.8
18.3
19.1
19.9
21.7
37.8
42.0
....
128.0
123.5
169.3
221.3
210.9
216.0
214.5
....
2.5
4.2
7.3
9.6
24.3
24.5
18.2
....
3.1
5.6
5.2
13.0
11.9
15.7
13.3
....
3.6
4.9
6.7
6.9
5.2
6.5
6.5
....
2.3
4.0
7.2
14.9
10.6
12.8
16.6
....
28.3
32.3
50.2
60.2
61.0
58.8
60.6
....
58.2
41.4
54.5
70.1
61.9
56.6
58.9
....
.6
.7
.7
.9
.9
1.1
1.3
....
29.5
30.3
37.4
45.7
35.1
40.1
39.1
....
....
....
....
....
....
....
....
....
....
....

410.9
539.3
128.4
520.0
43.2
19.3
....
....
....
....
....

402.5
605.9
203.4
573.0
50.4
32.9
.1
....
....
....
.1

416.4
710.1
293.7
649.0
56.1
61.1
.1
....
....
....
.1

604.8
906.2
301.4
842.0
79.0
64.2
1.1
1.0
1.0
....
....

321.2
592.1
270.8
563.4
66.3
28.6
2.3
2.1
2.1
....
.2

507.2
767.2
260.0
743.0
59.4
24.2
7.0
6.2
6.2
....
.9

565.7
927.5
361.6
899.0
35.8
28.5
6.4
6.2
6.2
....
.1

_______________________________________________________________________________________________________________________________
607
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Moldova

921
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

5.1
....
....
....
5.1
14.2
....
14.2
....
....
....
....
85.2
44.9
33.4
6.1
27.4
11.4
2.4
....
....
....
2.4
37.9
....
37.9
....
....
....

10.9
....
....
....
10.9
22.0
....
22.0
....
....
....
....
153.0
107.8
96.7
55.1
41.6
11.1
2.5
.2
....
....
2.3
42.7
....
42.7
....
....
....

15.0
....
....
....
15.0
46.0
....
46.0
....
....
....
....
237.6
182.2
165.6
52.8
112.8
16.7
3.2
1.4
....
....
1.8
52.1
....
52.1
....
....
....

16.4
....
....
....
16.4
46.7
....
46.7
....
....
....
....
222.4
150.7
133.4
34.7
98.7
17.3
4.8
3.7
....
....
1.1
67.0
....
67.0
....
....
....

19.2
....
....
....
19.2
7.1
....
7.1
....
....
....
....
204.5
140.6
123.1
134.7
11.6
17.5
1.6
1.2
....
....
.4
62.4
....
62.4
....
....
....

13.7
.1
....
....
13.7
3.4
....
3.4
....
....
....
....
200.7
151.1
138.4
123.8
14.6
12.7
2.7
2.7
....
....
....
46.9
....
46.9
....
....
....

16.0
.1
....
....
15.9
6.2
....
6.2
....
....
....
....
325.8
263.6
247.0
152.5
94.4
16.7
3.7
3.7
....
....
....
58.5
....
58.5
....
....
....

....
....
....
....
....
....
....
....
....
....
....

575.5
618.8
81.3
537.5
395.1
142.4
43.2
5.4
37.9
3.1
34.8

814.3
864.3
75.5
788.8
602.8
185.9
50.0
6.5
43.5
6.5
37.0

1,232.3
1,297.3
143.9
1,153.4
842.3
311.2
65.1
4.9
60.2
15.8
44.4

1,638.8
1,750.3
204.3
1,546.0
1,046.0
499.9
111.5
6.3
105.2
13.3
91.9

1,220.6
1,324.0
186.2
1,137.8
635.2
502.6
103.4
13.7
89.6
8.0
81.7

1,326.9
1,416.3
250.3
1,166.1
608.5
557.6
89.4
6.8
82.6
19.2
63.4

1,515.8
1,616.0
236.8
1,379.2
701.4
677.9
100.2
9.5
90.8
15.4
75.4

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

3.8
....
....
18.3
13.0
13.0
....
5.2
22.1
....
....
....
22.1

22.8
....
....
6.1
....
....
....
6.1
28.9
....
....
....
28.9

8.0
....
....
7.0
....
....
....
7.0
14.9
....
....
....
14.9

14.6
....
....
9.3
....
....
....
9.3
23.9
....
....
....
23.9

17.5
....
....
12.2
....
....
....
12.2
29.7
....
....
....
29.7

28.4
....
....
13.4
....
....
....
13.4
41.8
....
....
....
41.8

29.7
8.0
....
11.3
....
....
....
11.3
49.0
....
....
....
49.0

FINANCIAL ACCOUNT........................................ 30999S N AA

....

51.3

327.3

571.2

928.3

432.6

449.1

734.2

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

190.9
.2
.2
.2
.2
....
....
....
.1
.1
....
....

259.4
.7
.8
.8
.8
....
....
....
1.6
1.8
.2
....

523.9
12.1
12.6
12.6
12.6
....
....
....
.5
4.7
5.2
....

695.4
31.2
16.1
16.1
16.1
....
....
....
15.1
.1
15.2
....

138.6
3.4
8.2
8.2
8.2
....
....
....
11.6
1.4
10.2
....

193.9
7.6
3.4
3.4
3.4
....
....
....
4.2
.1
4.1
....

260.5
33.8
20.2
20.2
20.2
....
....
....
13.6
.4
13.2
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
608
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Moldova

921
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

190.7
107.0
79.6
79.6
....
....
27.4
83.7
83.7
....
....

258.7
160.6
119.0
119.0
....
....
41.6
98.1
98.1
....
....

536.0
340.2
227.4
227.4
....
....
112.8
195.8
195.8
....
....

726.6
540.4
441.7
441.7
....
....
98.7
186.2
186.2
....
....

135.2
150.0
161.6
161.6
....
....
11.6
14.9
14.9
....
....

201.5
171.5
157.0
157.0
....
....
14.6
30.0
30.0
....
....

294.2
238.3
143.9
143.9
....
....
94.4
55.9
55.9
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7.0
1.2
....
....
....
....
....
....
1.2
....
1.2
....
....
....
5.8
.6
....
.6
....
....
....
6.4
....
....
6.4
....
....

4.8
.2
.2
....
....
....
.2
....
....
....
....
....
....
....
4.6
1.8
....
1.7
....
.1
....
6.4
....
....
6.4
....
....

4.5
.1
.1
....
....
....
....
....
....
....
....
....
....
....
4.4
1.7
....
1.5
....
.3
....
6.2
....
....
6.2
....
....

6.4
....
....
....
....
....
....
....
....
....
....
....
....
....
6.4
11.4
....
11.0
....
.4
....
4.9
....
....
4.9
....
....

5.8
.3
.3
....
....
....
.3
....
....
....
....
....
....
....
5.6
2.4
....
.5
....
2.9
....
8.0
....
....
8.0
....
....

5.6
.2
.2
....
....
....
.2
....
....
....
....
....
....
....
5.8
5.8
....
5.8
....
.1
....
....
....
....
....
....
....

4.7
.4
.4
....
....
....
.4
....
....
....
....
....
....
....
5.1
5.1
....
3.7
....
1.4
....
.1
....
.1
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

1.6
1.7
.1

.2
.1
.3

.5
.5
.1

.9
.1
1.0

.3
.1
.4

.6
.6
....

.2
....
.2

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2.4
78.2
....
78.2
14.1
50.7
.2
13.1
....
75.8
....
....
75.8
21.7
13.8
2.1
81.6
....

213.2
49.4
....
49.4
....
77.6
....
28.2
....
262.6
....
....
262.6
41.1
60.3
3.1
164.2
....

581.2
35.3
....
35.3
....
49.2
....
13.9
....
545.8
....
....
545.8
11.2
192.8
27.5
314.4
....

677.7
52.1
....
52.1
....
36.2
....
88.3
....
625.5
....
....
625.5
13.5
208.9
20.1
383.1
....

97.4
210.6
....
210.6
....
186.8
....
23.8
....
308.0
....
184.1
123.9
16.3
101.6
3.4
245.2
....

544.6
75.5
....
75.5
....
39.1
....
36.4
....
469.1
....
....
469.1
174.6
35.1
44.4
285.2
....

746.9
91.1
....
91.1
....
81.7
....
9.4
....
655.9
....
....
655.9
153.5
144.6
10.6
347.1
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

128.6
....
....
....
128.7

140.7
....
.1
....
140.6

528.9
....
....
....
528.9

452.0
....
....
....
452.0

202.1
....
1.8
....
203.9

294.4
....
3.2
....
297.5

278.1
.4
.5
....
277.2

NET ERRORS AND OMISSIONS.........................

....

178.3

81.9

107.8

59.1

31.6

28.2

85.8

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
609
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Moldova

921
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
1,185.4 1,419.9 1,996.2 2,305.3 2,341.5 2,493.5
Direct investment............................................. 8A9999 A AA
....
29.9
29.2
41.3
72.5
70.1
77.7
Equity and investment fund shares................. 8AA000 A AA
....
24.6
25.5
38.1
54.2
62.4
65.8
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

24.6
....
....
5.3
.4
4.8
....
7.3
.7
....
....
.4
.3
....
6.7
....
6.5
....
.1
....
2.1
548.6
....
548.6
....
156.5
....
392.1
....
597.4
....
....
....
597.4

25.5
....
....
3.7
1.3
5.0
....
7.5
.9
....
....
.4
.5
....
6.7
....
6.5
....
.1
....
2.2
605.7
....
605.7
....
244.2
....
361.5
....
775.3
....
.2
....
775.1

38.1
....
....
3.2
3.4
.2
....
7.6
.9
....
....
.4
.5
....
6.7
....
6.5
....
.1
....
2.8
610.9
....
610.9
....
218.0
....
393.0
....
1,333.7
....
.2
....
1,333.5

54.2
....
....
18.3
3.3
14.9
....
7.6
1.0
....
....
.4
.6
....
6.7
....
6.5
....
.1
....
2.8
549.9
....
549.9
....
246.7
....
303.3
....
1,672.4
....
.1
....
1,672.3

62.4
....
....
7.7
1.9
5.8
....
8.1
1.4
....
....
.4
1.0
....
6.7
....
6.5
....
.1
....
2.9
780.2
....
780.2
....
437.5
....
342.7
....
1,480.3
....
3.6
....
1,476.7

65.8
....
....
11.9
2.0
9.8
....
8.3
1.6
....
....
.4
1.2
....
6.7
....
6.5
....
.1
....
3.5
686.4
....
686.4
....
377.6
....
308.8
....
1,717.7
....
.3
....
1,717.3

2,681.1
111.5
86.0
86.0
....
....
25.5
2.4
23.1
....
8.7
2.0
....
....
.4
1.6
....
6.7
....
6.5
....
.1
....
3.5
592.1
....
592.1
....
293.6
....
298.5
....
1,965.3
.4
.9
....
1,964.1

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,885.2
1,025.0
785.4
785.4
....
....
239.6
239.6
....
....
46.1
20.7
....
8.3
....
12.4
....
25.4
....
....
25.4
....
....

3,465.3
1,283.1
943.1
943.1
....
....
340.0
340.0
....
....
51.1
32.0
....
19.6
....
12.4
....
19.0
....
....
19.0
....
....

4,686.1
1,876.3
1,325.5
1,325.5
....
....
550.8
550.8
....
....
53.9
41.0
....
26.8
....
14.2
....
12.9
....
....
12.9
....
....

6,018.3
2,611.2
1,885.2
1,885.2
....
....
726.0
726.0
....
....
56.9
48.9
....
33.1
....
15.9
....
8.0
....
....
8.0
....
....

6,414.0
2,702.8
2,001.7
2,001.7
....
....
701.1
701.1
....
....
49.3
49.3
....
31.2
....
18.0
....
....
....
....
....
....
....

7,020.4
2,889.5
2,175.6
2,175.6
....
....
713.9
713.9
....
....
55.5
55.5
....
37.4
....
18.1
....
....
....
....
....
....
....

7,949.9
3,193.1
2,429.4
2,429.4
....
....
763.7
763.7
....
....
72.7
72.6
....
53.1
....
19.5
....
.1
....
.1
....
....
....

_______________________________________________________________________________________________________________________________
610
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Moldova

921
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Moldovan lei per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

1.2
1,813.0
....
....
1,813.0
95.5
86.7
632.2
998.7
....

1.5
2,129.6
....
....
2,129.6
141.1
150.3
699.2
1,139.1
....

1.5
2,754.4
....
....
2,754.4
159.5
359.0
753.1
1,482.8
....

2.5
3,347.7
....
....
3,347.7
167.6
561.4
771.9
1,846.9
....

3.0
3,659.0
....
184.5
3,474.5
153.9
457.6
773.6
2,089.4
....

3.0
4,072.4
....
181.3
3,891.1
204.2
406.6
934.9
2,345.4
....

3.1
4,681.0
....
180.7
4,500.3
328.1
545.2
962.8
2,664.1
....

....
....

1,699.9 2,045.4 2,689.8 3,713.1 4,072.5 4,526.8 5,268.8


12.832

12.905

11.319

10.400

12.302

12.154

11.715

_______________________________________________________________________________________________________________________________
611
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mongolia

948
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
4.5
109.0
171.8
690.1
341.8
885.9 2,760.4
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

1,068.6
1,097.4

1,545.2
1,356.7

1,950.7
2,003.1

2,508.6
3,138.0

1,880.9
2,059.1

2,907.9
3,079.9

4,816.4
5,806.6

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

414.5
475.9

90.2

485.8
523.2

151.0

581.8
472.4

57.0

519.9
628.5

738.0

417.2
571.0

332.0

485.9
788.7

474.9

621.3
1,784.6

2,153.4

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

10.7
61.4

140.9

17.4
161.9

6.5

53.5
151.0

40.5

16.5
189.3

910.8

24.3
219.8

527.4

28.9
627.0

1,072.9

43.7
888.8

2,998.5

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

177.6
41.2

179.8
77.4

303.8
91.5

378.4
157.7

260.3
74.6

309.4
122.4

452.4
214.3

B. Capital Account........................................... 20999F B AA

....

....

....

....

84.1

160.5

152.2

113.9

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

4.5

....
....

109.0

....
....

84.5
.5

160.5
....

152.7
.5

116.9
3.1

C. Financial Account......................................... 30999F N AA

....

45.6

181.4

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

12.8
1.1
11.7

6.2
6.4
.2

53.8
.4
54.2

61.7
46.1
15.6

94.5
60.9
33.6

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

184.6
184.6
....

344.0
344.0
....

372.8
322.8
49.9

844.7
828.5
16.2

623.6
488.0
135.6

1,691.4
1,331.0
360.4

4,714.6
1,501.2
3,213.4

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

1.2
.3
.9

51.2
25.1
26.1

138.8
6.4
132.4

143.3
12.9
156.2

20.9
20.0
40.9

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

76.0
.8
75.2

14.8
13.4
1.3

56.7
3.6
53.1

751.0
680.3
70.7

56.0
9.3
46.8

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

124.8
....
124.8

223.4
....
223.4

207.8
....
207.8

64.5
....
64.5

144.8
....
144.8

1,040.2
....
1,040.2

2,383.8
....
2,383.8

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

14.2
....
14.2

60.8
....
60.8

49.0
....
49.0

281.2
....
281.2

265.6
....
265.6

107.8
....
107.8

437.1
....
437.1

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

Conversion rates: togrogs per U.S. dollar......... RFZ F B

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

28.8

41.1

188.5

52.4

171.8

629.5

606.1

276.0 1,147.6

178.2

181.3

172.0

733.7

990.1

2,646.5

608.5 1,591.5 2,750.4

290.4

447.8

541.6

427.2

857.8

103.9

75.5

7.9

158.7

774.7

34.4

282.5

289.1

233.1

127.6

17.0

76.0

554.7

874.8

....
....
....

48.5
5.9
88.8

389.2
5.9
112.6

282.6
6.6
....

27.9

237.7
5.1
.4

712.5
157.8
....

893.6
18.7
....

24.0
3.9
....

....

1,205.2

1,179.7

1,170.4

1,165.8

1,437.8

1,357.1

1,265.5

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
612
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mongolia

948
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
84.3
221.6
171.8
690.1
341.8
885.9 2,760.4
GOODS AND SERVICES..................................... 1Z9999 B XN
....
90.2
151.0
57.0
738.0
332.0
474.9 2,153.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,483.1
1,573.3
28.8
1,068.6
737.2
....
331.4
1,097.4
1,097.4
....
61.4
414.5
475.9
....
....
....
....
199.2

2,031.0
1,879.9
188.5
1,545.2
1,275.1
....
270.1
1,356.7
1,356.7
....
37.5
485.8
523.2
....
....
....
....
214.4

2,532.5
2,475.5
52.4
1,950.7
1,715.8
....
234.9
2,003.1
2,003.1
....
109.4
581.8
472.4
....
....
....
....
218.3

3,028.5
3,766.5
629.5
2,508.6
1,908.7
....
599.9
3,138.0
3,138.0
....
108.6
519.9
628.5
20.5
....
....
18.3
165.4

2,298.1
2,630.1
178.2
1,880.9
1,572.4
....
308.5
2,059.1
2,059.1
....
153.8
417.2
571.0
2.7
....
....
13.2
135.6

216.1

254.6

151.5

258.9

203.3

285.1

1,073.8

176.8
.7
176.1
156.6
4.7
151.9
38.5
.8
2.3
5.0
....
15.2
9.7
.1
5.4
103.1
2.9
15.2
7.9
....
25.6
43.3
.2
8.0

225.1
2.3
222.8
187.9
5.6
182.4
46.3
.4
.7
9.0
....
18.1
15.2
....
2.9
80.7
1.5
16.9
3.0
....
10.3
42.4
2.2
9.0

311.5
5.1
306.4
204.6
4.5
200.1
52.0
2.7
.2
2.8
....
20.6
19.4
.2
6.5
116.3
22.6
10.5
2.7
....
16.8
47.2
....
16.5

246.9
14.2
232.7
217.3
3.9
213.4
87.1
4.8
3.6
.6
12.5
19.2
43.3
.5
2.5
134.0
3.0
15.3
1.4
1.3
29.6
70.6
.7
12.2

235.3
34.0
201.3
210.4
2.4
208.0
43.7
2.2
3.2
1.5
.2
12.5
21.8
.2
2.1
144.1
1.3
13.4
4.6
.8
27.3
83.5
.2
12.9

244.0
31.2
212.9
265.3
3.0
262.3
67.3
2.9
4.2
6.6
.5
9.9
39.9
.3
3.0
230.1
6.8
19.4
10.0
2.6
31.1
139.2
.4
20.3

218.1
12.2
205.9
344.4
11.2
333.3
151.4
6.8
1.8
5.2
2.1
12.2
119.0
.2
4.0
364.0
28.7
39.7
27.6
5.8
47.7
199.9
.3
14.3

....
....
....
....
....
....
....
....
....
....
....

50.8
10.7
61.4
2.8
....
7.9
....
....
....
....
....

144.5
17.4
161.9
1.6
....
15.8
....
....
....
....
....

97.5
53.5
151.0
3.8
....
49.7
....
....
....
....
....

172.7
16.5
189.3
6.4
22.8
10.2
2.2
....
....
....
2.2

195.4
24.3
219.8
8.1
12.1
16.2
4.8
....
....
....
4.8

598.1
28.9
627.0
18.3
50.6
10.6
.2
.2
.8
.6
....

845.1
43.7
888.8
30.1
145.5
13.6
.1
.1
.1
....
....

26.4
77.9
95.0

16.3
129.3
70.6

36.2
97.6
80.6

24.2
151.5
78.9

42.5
86.0
89.8

21.9
101.1
28.5

24.6
67.5
73.2

32.0
197.5
29.3

17.7
62.6
55.2

31.9
145.5
25.9

3,393.7
5,437.7
3,868.6
7,591.2
172.0
990.1
2,907.9 4,816.4
2,729.5
4,706.6
....
....
178.3
109.8
3,079.9 5,806.6
3,079.9
5,806.6
....
....
302.8 1,163.3
485.9
621.3
788.7
1,784.6
.1
.3
....
....
....
....
8.2
2.4
174.6
252.2

43.7
66.9
64.1

54.4
214.8
16.0

40.4
144.9
66.8

59.9
987.1
26.7

_______________________________________________________________________________________________________________________________
613
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mongolia

948
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
7.9
....
7.9
....
....
....
....
61.4
41.0
41.0
41.0
....
....
....
....
....
....
....
20.4
....
20.4
....
....
....

....
....
....
....
....
15.8
....
15.8
....
....
....
....
161.9
145.4
145.4
145.4
....
....
....
....
....
....
....
16.5
....
16.5
....
....
....

....
....
....
....
....
49.7
....
49.7
....
....
....
....
151.0
125.8
125.8
125.8
....
....
6.2
....
....
....
6.2
19.0
....
19.0
....
....
....

4.7
....
....
....
4.7
3.3
....
3.3
....
....
....
....
166.5
109.1
108.8
91.3
17.5
.2
16.8
....
....
....
16.8
40.6
....
40.6
....
....
....

5.0
....
....
....
5.0
6.4
....
6.4
....
....
....
....
207.7
121.0
117.7
133.8
16.1
3.3
20.0
....
....
....
20.0
66.7
....
66.7
....
....
....

3.0
....
....
....
3.0
7.4
....
7.4
....
....
....
....
576.4
464.4
453.1
340.1
113.0
11.3
13.5
....
....
....
13.5
98.5
....
98.5
....
....
....

1.8
....
....
....
1.8
11.6
....
11.6
....
....
....
....
743.3
631.7
618.7
257.4
361.3
13.0
14.0
....
....
....
14.0
97.6
....
97.6
....
....
....

....
....
....
....
....
....
....
....
....
....
....

225.2
266.4
88.8
177.6
177.6
....
41.2
.8
40.4
40.4
....

215.1
292.5
112.6
179.8
179.8
....
77.4
.8
76.6
76.6
....

212.3
303.8
109.0
194.8
174.3
20.5
91.5
.8
90.7
90.3
.4

220.7
378.4
33.4
345.0
218.2
126.8
157.7
.9
156.8
149.4
7.5

185.7
260.3
62.2
198.1
191.5
6.6
74.6
2.7
72.0
71.4
.6

187.0
309.4
35.0
274.4
247.9
26.4
122.4
2.1
120.3
118.5
1.7

238.2
452.4
28.4
424.0
249.3
174.7
214.3
10.7
203.6
190.8
12.8

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

84.1
....
....
84.5
78.8
....
78.8
5.8
.5
....
....
....
.5

160.5
....
....
160.5
145.1
....
145.1
15.4
....
....
....
....
....

152.2
....
.5
152.7
81.8
....
81.8
70.9
....
....
....
....
....

113.9
....
....
116.9
66.2
....
66.2
50.7
3.1
....
....
....
3.1

FINANCIAL ACCOUNT........................................ 30999S N AA

....

8.8

213.7

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

184.6
....
....
....
....
....
....
....
....
....
....
....

344.0
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

13.1 1,380.7
360.0
12.8
1.1
1.1
1.1
....
....
....
11.7
11.7
....
....

838.5
6.2
6.4
6.4
6.4
....
....
....
.2
.2
....
....

53.7

716.7 2,722.5

569.8 1,629.7 4,620.1


53.8
61.7
94.5
.4
46.1
60.9
.4
46.7
60.9
.4
46.7
60.9
....
....
....
....
....
....
....
.6
....
54.2
15.6
33.6
54.2
15.6
33.6
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
614
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mongolia

948
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

184.6
184.6
184.6
184.6
....
....
....
....
....
....
....

344.0
344.0
344.0
344.0
....
....
....
....
....
....
....

372.8
322.8
322.8
322.8
....
....
....
49.9
49.9
....
....

844.7
828.5
811.0
811.0
....
....
17.5
16.2
16.2
....
....

623.6
488.0
504.1
504.1
....
....
16.1
135.6
135.6
....
....

1,691.4
1,331.0
1,218.0
1,218.0
....
....
113.0
360.4
360.4
....
....

4,714.6
1,501.2
1,139.9
1,139.9
....
....
361.3
3,213.4
3,213.4
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

74.9
1.2
.3
....
.3
....
....
....
.9
....
.9
....
....
....
76.0
.8
....
....
....
.8
....
75.2
....
74.8
....
.4
....

36.0
51.2
25.1
....
4.2
....
20.9
....
26.1
....
1.6
....
24.4
....
15.2
13.4
....
.5
....
12.9
....
1.8
....
8.4
....
6.7
....

82.1
138.8
6.4
....
....
....
6.4
....
132.4
....
.7
....
133.1
....
56.7
3.6
....
.4
....
4.0
....
53.1
....
17.5
70.6
....
....

894.3
143.3
12.9
....
3.3
....
9.6
....
156.2
....
....
....
156.2
....
751.0
680.3
....
....
....
680.3
....
70.7
....
123.5
52.7
.1
....

77.0
20.9
20.0
....
....
....
20.0
....
40.9
....
....
....
40.9
....
56.0
9.3
....
....
....
9.3
....
46.8
....
15.8
30.0
1.0
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

144.9
124.8
....
124.8
....
1.5
....
....
....
20.1
....
....
20.1
5.9
2.5
79.6
96.3
....

168.5
223.4
....
223.4
....
1.0
....
....
....
54.9
....
....
54.9
5.9
1.5
63.0
3.7
....

165.4
207.8
....
207.8
....
114.2
....
93.7
....
42.4
....
....
42.4
....
50.2
6.6
1.2
....

340.6
64.5
....
64.5
....
113.0
....
48.5
....
276.1
....
....
276.1
5.1
171.3
38.6
71.3
....

278.5
144.8
....
144.8
....
74.5
....
70.4
....
423.4
....
76.3
347.1
156.2
15.4
149.7
25.9
....

913.7
1,040.2
....
1,040.2
....
197.4
....
842.8
....
126.5
....
....
126.5
17.4
.1
9.6
99.6
....

1,950.6
2,383.8
....
2,383.8
....
54.1
....
2,329.7
....
433.2
....
....
433.2
7.0
180.3
136.1
123.7
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

48.5
14.1
....
....
62.6

389.2
134.7
....
....
254.6

282.6
64.2
....
....
218.3

237.7
....
....
....
237.7

712.5
27.0
76.2
....
663.4

893.6
....
2.3
....
895.9

24.0
79.3
2.8
....
106.1

NET ERRORS AND OMISSIONS.........................

....

75.5

7.9

158.7

774.7

127.6

17.0

76.0

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
615
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mongolia

948
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
....
....
....
....
....
6,549.4
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
2,901.4
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
2,899.5
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011
5,742.8
1,859.2
1,857.0
1,857.0
....
....
2.1
2.1
....
....
24.5
20.4
....
....
....
20.4
....
4.1
....
.2
....
4.0
....
1.5
1,406.8
....
1,406.8
....
518.1
....
888.7
....
2,450.8
175.9
69.8
.2
2,205.0

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.2
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.2
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.2
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
.1
.2
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
76.4
.2
....

2,899.5
....
....
1.9
1.9
....
....
45.4
.4
....
....
....
.4
....
45.1
....
.2
....
44.9
....
....
1,314.2
....
1,314.2
....
521.9
....
792.3
....
2,288.3
91.6
72.7
.2
2,123.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8,227.4 13,381.6
4,949.5 9,407.6
2,234.2 3,657.2
2,234.2
3,657.2
....
....
....
....
2,715.3 5,750.4
2,715.3
5,750.4
....
....
....
....
275.2
337.3
65.2
94.6
....
....
....
....
....
....
65.2
94.6
....
....
210.1
242.8
....
....
191.1
195.7
19.0
46.1
....
.9
....
....

_______________________________________________________________________________________________________________________________
616
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mongolia

948
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: togrogs per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....

....
3,002.6
....
75.1
2,927.5
198.5
314.9
1,768.6
645.6
....

1.5
3,635.3
....
74.9
3,560.4
193.7
514.2
1,904.8
947.8
....

....

....

....

....

....

....

....

1,221.0

1,165.0

1,170.0

1,267.5

1,442.8

1,678.0 7,638.8
1,256.5

1,396.4

_______________________________________________________________________________________________________________________________
617
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Montenegro

943
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
....
. . . . 1,449.0 2,286.1 1,224.3 1,012.2

882.0

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

....
....
....

....
....
....

654.2
2,464.8

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

....
....
....

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

....
....
....

....
....
....

1,530.3

2,393.2

1,342.9

1,163.7

1,045.1

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

....
....

....
....

137.9
56.6

160.1
53.1

163.5
44.9

193.8
42.3

216.6
53.5

B. Capital Account........................................... 20999F B AA

....

....

....

2.0

.7

2.7

.7

4.2

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....
....

....
....
....

1.2
3.2

1,451.0

....
.7

2,286.8

3.0
.3

1,221.6

.1
.7

1,012.8

.6
4.8

886.2

C. Financial Account......................................... 30999F N AA

....

....

....

1,650.1 1,714.8

849.8

513.9

236.4

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

157.3
157.3
....

108.0
108.0
....

45.7
45.7
....

29.2
13.9
15.3

17.1
33.6
16.5

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

....
....
....

....
....
....

934.4
720.2
214.2

960.4
614.6
345.8

1,527.3
1,339.3
188.0

760.4
568.3
192.2

558.1
437.9
120.2

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

3.7
18.3
14.6

17.1
13.5
3.6

53.2
48.9
4.2

4.1
1.6
5.7

19.8
4.1
15.7

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

10.8
4.5
6.3

5.7
5.5
.2

5.0
5.0
....

253.4
7.8
261.1

247.2
15.1
262.3

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

....
....
....

....
....
....

417.4
....
417.4

268.6
....
268.6

447.9
....
447.9

446.1
....
446.1

471.9
....
471.9

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

....
....
....
....

....
....
....
....

1,283.3
....
1,283.3

1,153.7
....
1,153.7

125.8
....
125.8

20.5
....
20.5

60.0
....
60.0

D. Net Errors and Omissions............................. 40999S N AA

....

....

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

....
....
....

....
....
....

Conversion rates: euros per U.S. dollar............ RFZ F B

....

.8041

.7971

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

2006

2007

647.5
2,759.9

2008

615.8
3,605.8

2009

381.3
2,232.4

449.9
2,134.7

2,112.4

2,990.0

1,851.1

1,684.8

1,810.6

929.8
390.5

1,135.0
605.2

965.3
464.6

1,001.0
451.1

1,176.3
447.3

1,573.1

2,460.2

1,350.4

1,134.9

1,081.6

144.2
101.4

247.3
180.2

226.1
218.7

219.6
248.4

268.0
231.5

199.2

572.0

371.8

498.9

649.8

25.0

344.8

490.8

520.9

490.9

174.1

227.2

119.0

22.0

158.9

174.1
....
....

227.2
....
....

119.0
....
....

22.0
....
....

158.9
....
....

.7306

.6827

.7198

.7550

.7194

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
618
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Montenegro

943
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
....
. . . . 1,449.0 2,286.1 1,224.3 1,012.2
882.0
GOODS AND SERVICES..................................... 1Z9999 B XN
....
....
. . . . 1,573.1 2,460.2 1,350.4 1,134.9 1,081.6
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
1,577.4
1,750.7
1,346.6
1,450.9
1,830.5
....
3,150.4
4,211.0
2,697.0
2,585.8
2,912.1
. . . . 2,112.4 2,990.0 1,851.1 1,684.8 1,810.6
....
647.5
615.8
381.3
449.9
654.2
....
633.0
619.5
389.1
452.5
642.5
....
14.6
3.8
7.8
2.6
11.6
....
....
....
....
....
....
....
2,759.9 3,605.8 2,232.4 2,134.7 2,464.8
....
2,759.9
3,605.8
2,232.4
2,134.7
2,464.8
....
....
....
....
....
....
....
539.3
529.8
500.7
549.9
729.0
....
929.8
1,135.0
965.3
1,001.0
1,176.3
....
390.5
605.2
464.6
451.1
447.3
....
....
....
....
....
....
....
....
....
....
....
....
....
28.7
40.2
22.5
19.9
19.9
....
15.5
20.6
15.2
15.9
13.5
....
98.8
134.9
137.7
172.5
210.7
30.2
46.1
46.2
52.7
50.2
....
....
13.9
18.1
26.2
35.9
46.2
....
54.6
70.7
65.4
83.9
114.3
....
138.2
201.2
142.4
145.6
166.1
20.8
37.4
27.1
26.5
31.0
....
....
96.0
127.4
84.8
90.4
102.7
....
21.4
36.4
30.4
28.7
32.4
....
629.0
754.7
659.4
659.7
776.2
....
....
....
....
....
....
....
628.9
754.7
659.4
659.7
776.2
....
36.9
43.2
49.0
46.2
39.1
....
2.5
1.9
.8
1.0
.9
....
34.3
41.3
48.2
45.2
38.2
....
173.4
205.1
145.6
149.0
169.4
....
67.0
74.2
38.5
35.5
44.9
....
2.1
3.0
5.2
5.5
5.4
....
4.2
5.2
8.6
5.9
5.8
....
1.4
2.0
1.1
3.3
.8
....
43.9
48.6
41.5
39.4
46.5
....
43.8
53.8
37.9
44.4
49.6
....
11.0
18.4
12.8
14.9
16.5
....
....
....
....
....
....
....
200.0
340.1
258.0
243.4
228.6
....
49.0
95.4
57.6
58.2
29.9
....
15.9
17.9
18.6
17.6
17.9
....
12.7
6.1
5.6
5.8
7.5
....
8.9
11.2
11.7
9.0
2.8
....
20.0
33.2
39.8
40.8
40.9
....
73.7
129.2
92.1
82.7
93.0
....
12.2
34.1
17.4
17.1
23.0
....
7.7
13.1
15.2
12.1
13.6

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

42.8
144.2
101.4
109.2
7.1
35.0
1.5
1.5
1.5
....
....

67.1
247.3
180.2
207.8
7.8
39.5
1.0
1.0
1.0
....
....

7.5
226.1
218.7
216.3
8.4
9.8
1.8
1.8
1.8
....
....

28.8
219.6
248.4
210.5
11.5
9.1
2.3
2.3
2.3
....
....

36.5
268.0
231.5
249.5
15.5
18.5
2.9
2.9
2.9
....
....

_______________________________________________________________________________________________________________________________
619
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Montenegro

943
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
33.5
....
33.5
....
....
....
....
94.3
15.5
15.5
15.5
....
....
....
....
....
....
....
78.8
....
78.8
....
....
....

....
....
....
....
....
38.5
....
38.5
....
....
....
....
172.5
42.8
42.8
42.8
....
....
.6
....
....
....
.6
129.1
....
129.1
....
....
....

.1
....
....
....
.1
8.0
....
8.0
....
....
....
....
210.3
90.3
90.3
90.3
....
....
.1
....
....
....
.1
119.8
....
119.8
....
....
....

....
....
....
....
....
6.9
....
6.9
....
....
....
....
236.9
100.3
100.3
100.3
....
....
....
....
....
....
....
136.6
....
136.6
....
....
....

.1
....
....
....
.1
15.5
....
15.5
....
....
....
....
216.0
44.4
44.4
44.4
....
....
20.4
....
....
....
20.4
151.2
....
151.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

81.3
137.9
10.7
127.3
86.6
40.7
56.6
8.1
48.6
19.9
28.7

107.0
160.1
19.8
140.3
90.0
50.4
53.1
6.2
46.9
19.4
27.5

118.6
163.5
20.6
142.9
85.6
57.3
44.9
13.2
31.7
17.3
14.4

151.5
193.8
31.6
162.2
90.3
71.9
42.3
9.9
32.4
16.1
16.3

163.1
216.6
19.5
197.2
93.6
103.6
53.5
11.4
42.1
19.2
22.9

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

2.0
....
.2
1.2
....
....
....
1.2
3.0
....
....
....
3.0

.7
....
.1
....
....
....
....
....
.6
....
....
....
.6

2.7
3.0
.1
....
....
....
....
....
.2
....
....
....
.2

.7
....
....
.1
....
....
....
.1
.7
....
....
....
.7

4.2
.6
4.5
....
....
....
....
....
.2
....
....
....
.2

FINANCIAL ACCOUNT........................................ 30999S N AA

....

....

....

1,476.0 1,942.0

730.8

491.9

395.3

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

852.5 1,481.6
108.0
45.7
108.0
45.7
108.0
45.7
108.0
45.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....

731.2
29.2
13.9
13.9
13.9
....
....
....
15.3
15.3
....
....

540.9
17.1
33.6
33.6
33.6
....
....
....
16.5
16.5
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

777.1
157.3
157.3
157.3
157.3
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
620
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Montenegro

943
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

934.4
720.2
720.2
720.2
....
....
....
214.2
214.2
....
....

960.4
614.6
614.6
614.6
....
....
....
345.8
345.8
....
....

1,527.3
1,339.3
1,339.3
1,339.3
....
....
....
188.0
188.0
....
....

760.4
568.3
568.3
568.3
....
....
....
192.2
192.2
....
....

558.1
437.9
437.9
437.9
....
....
....
120.2
120.2
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

7.1
3.7
18.3
....
....
....
....
....
14.6
....
7.5
....
7.0
....
10.8
4.5
....
....
....
....
....
6.3
....
6.3
....
....
....

22.7
17.1
13.5
....
....
....
....
....
3.6
....
....
....
3.6
....
5.7
5.5
....
....
....
....
....
.2
....
....
....
.2
....

58.1
53.2
48.9
....
....
....
....
....
4.2
....
....
....
4.2
....
5.0
5.0
....
....
....
....
....
....
....
....
....
....
....

249.3
4.1
1.6
....
....
....
....
....
5.7
....
....
....
5.7
....
253.4
7.8
....
....
....
....
....
261.1
....
4.1
262.4
2.8
....

227.4
19.8
4.1
....
....
....
....
....
15.7
....
....
....
15.7
....
247.2
15.1
....
....
....
....
....
262.3
....
41.7
248.6
28.0
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

865.9
417.4
....
417.4
....
86.0
....
331.4
....
1,283.3
....
....
1,283.3
....
655.4
83.8
711.7
....

885.1
268.6
....
268.6
....
134.8
....
403.4
....
1,153.7
....
....
1,153.7
....
671.6
10.3
492.4
....

573.6
447.9
....
447.9
....
117.8
....
330.1
....
125.8
....
40.4
166.1
....
302.7
199.3
62.8
....

466.6
446.1
....
446.1
....
94.5
....
351.6
....
20.5
....
....
20.5
....
138.9
10.3
108.1
....

531.9
471.9
....
471.9
....
86.8
....
385.1
....
60.0
....
....
60.0
....
198.7
65.9
204.6
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

174.1
.7
.2
10.0
163.2

227.2
....
.3
....
227.5

119.0
....
40.4
....
78.6

22.0
....
....
....
22.0

158.9
....
....
....
158.9

NET ERRORS AND OMISSIONS.........................

....

....

....

25.0

344.8

490.8

520.9

490.9

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
621
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Montserrat

351
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
15.83
7.54
10.42
19.69
12.70
19.75

9.64

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

1.26
26.32

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

38.07

29.26

31.04

43.38

32.25

34.49

34.19

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

28.04
5.80

25.44
3.72

25.28
4.66

27.91
4.22

24.24
4.70

18.97
4.22

28.85
4.30

B. Capital Account........................................... 20999F B AA

....

5.39

3.62

5.08

7.63

18.74

10.95

10.13

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

7.81
2.42

10.44

6.18
2.56

3.92

7.66
2.58

5.34

10.39
2.76

12.06

21.57
2.83

6.04

13.67
2.72

8.79

13.03
2.90

C. Financial Account......................................... 30999F N AA

....

10.08

4.31

5.20

9.01

1.38

8.81

5.28

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

5.44
.80
4.64

3.99
.75
3.24

6.85
.89
5.97

12.68
.80
11.88

2.56
.81
1.75

3.55
.84
2.71

3.45
.80
2.65

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

.13
....
....

.06
....
....

.10
....
....

.53
....
....

.48
....
....

.38
....
....

.37
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

3.67
....
3.67

3.25
....
3.25

4.55
....
4.55

3.77
....
3.77

8.13
....
8.13

1.04
....
1.04

9.16
....
9.16

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

8.44
....
8.44

3.51
....
3.51

2.79
....
2.79

.63
....
.63

3.04

3.71
....
3.71

4.66

5.92
....
5.92

10.62
....
10.62

D. Net Errors and Omissions............................. 40999S N AA

....

.25

.26

.05

.22

2.03

2.50

2.23

E. Reserves and Related Items.......................... 4Z999S N AA

....

.11

.65

.09

2.82

2.63

2.52

8.00

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

.11
....
....

.65
....
....

.09
....
....

2.82
....
....

2.63
....
....

2.52
....
....

8.00
....
....

Conversion rates: Eastern Caribbean dollars


per U.S. dollar............................................... RFZ F B

....

2.7000

2.7000

2.7000

2.7000

2.7000

2.7000

2.7000

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

1.88
26.19

2006

1.79
26.57

2007

3.08
26.09

2008

4.07
33.54

2009

3.23
26.07

.97
25.83

24.31

24.78

23.01

29.47

22.84

24.86

25.07

14.80
25.74

14.75
17.31

14.72
19.01

13.90
23.36

11.80
17.60

11.28
17.10

10.41
15.95

35.25

27.35

27.30

38.93

28.64

30.69

30.60

2.12
4.93

2.51
4.42

2.08
5.82

1.13
5.57

1.05
4.66

.50
4.31

.50
4.09

.36

.39

.14

.01

.48

5.76

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
622
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Montserrat

351
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
15.83
7.54
10.42
19.69
12.70
19.75
GOODS AND SERVICES..................................... 1Z9999 B XN
....
35.25
27.35
27.30
38.93
28.64
30.69
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

16.68
51.93
24.31
1.88
1.88
....
....
26.19
26.19
....
10.94
14.80
25.74
....
....
....
....
1.40
....
....
....
4.79
....
....
....
8.98
....
....
2.61
....
....
4.43
....
.56
....
....
3.00
.60
....
.27
18.34
2.93
.98
....
.06
2.48
2.59
....
9.31

16.54
43.89
24.78
1.79
1.79
....
....
26.57
26.57
....
2.56
14.75
17.31
....
....
....
....
1.46
....
....
....
5.41
....
....
....
7.75
....
....
2.84
....
....
5.55
....
.46
....
....
3.03
1.74
....
.31
9.06
....
1.01
....
.08
2.52
2.86
....
2.61

17.80
45.10
23.01
3.08
3.08
....
....
26.09
26.09
....
4.30
14.72
19.01
....
....
....
....
1.14
....
....
....
6.13
....
....
....
7.44
....
....
2.88
....
....
6.13
....
.44
....
....
3.15
2.30
....
.24
10.00
....
1.16
....
.08
2.62
3.01
....
3.14

17.97
56.90
29.47
4.07
4.07
....
....
33.54
33.54
....
9.46
13.90
23.36
....
....
....
....
1.18
....
....
....
7.37
....
....
....
7.04
....
....
3.22
....
....
5.68
....
.49
....
....
3.20
1.80
....
.19
12.77
....
1.27
....
.11
2.61
2.73
....
6.05

15.03
43.67
22.84
3.23
3.23
....
....
26.07
26.07
....
5.80
11.80
17.60
....
....
....
....
1.18
....
....
....
6.54
....
....
....
6.07
....
....
2.96
....
....
4.55
....
.36
....
....
3.28
.74
....
.17
8.09
....
.94
....
.11
2.68
3.04
....
1.33

12.24
42.93
24.86
.97
.97
....
....
25.83
25.83
....
5.83
11.28
17.10
....
....
....
....
.97
....
....
....
6.45
....
....
....
5.88
....
....
2.90
....
....
4.42
....
.43
....
....
3.15
.72
....
.13
7.75
....
.73
....
.11
2.73
3.39
....
.79

9.64
30.60
11.67
42.27
25.07
1.26
1.26
....
....
26.32
26.32
....
5.54
10.41
15.95
....
....
....
....
.98
....
....
....
6.36
....
....
....
5.19
....
....
2.47
....
....
4.24
....
.41
....
....
3.01
.69
....
.13
7.12
....
.74
....
.10
2.71
2.86
....
.71

....
....
....
....
....
....
....
....
....
....
....

2.82
2.12
4.93
....
.73
2.12
....
....
....
....
....

1.91
2.51
4.42
....
....
2.51
....
....
....
....
....

3.74
2.08
5.82
....
.58
2.08
....
....
....
....
....

4.45
1.13
5.57
....
.50
1.13
....
....
....
....
....

3.61
1.05
4.66
....
.76
1.05
....
....
....
....
....

3.81
.50
4.31
....
.44
.50
....
....
....
....
....

3.59
.50
4.09
....
.40
.50
....
....
....
....
....

_______________________________________________________________________________________________________________________________
623
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Montserrat

351
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.96
.96
....
....
....
1.16
....
1.16
....
....
....
....
4.21
2.46
2.45
1.65
.80
....
....
....
....
....
....
1.75
....
1.75
....
....
....

1.00
1.00
....
....
....
1.51
....
1.51
....
....
....
....
4.42
2.49
2.49
1.74
.75
....
....
....
....
....
....
1.92
....
1.92
....
....
....

.38
.38
....
....
....
1.70
....
1.70
....
....
....
....
5.24
2.91
2.91
2.03
.89
....
....
....
....
....
....
2.33
....
2.33
....
....
....

.65
.65
....
....
....
.48
....
.48
....
....
....
....
5.07
3.22
3.22
2.43
.80
....
....
....
....
....
....
1.84
....
1.84
....
....
....

.66
.66
....
....
....
.39
....
.39
....
....
....
....
3.91
3.34
3.34
2.53
.81
....
....
....
....
....
....
.57
....
.57
....
....
....

.30
.30
....
....
....
.20
....
.20
....
....
....
....
3.87
3.37
3.37
2.54
.84
....
....
....
....
....
....
.50
....
.50
....
....
....

.30
.30
....
....
....
.20
....
.20
....
....
....
....
3.69
3.23
3.23
2.43
.80
....
....
....
....
....
....
.46
....
.46
....
....
....

....
....
....
....
....
....
....
....
....
....
....

22.24
28.04
27.37
.68
.51
.17
5.80
2.63
3.17
1.75
1.43

21.72
25.44
24.91
.53
.52
.01
3.72
.59
3.13
1.75
1.38

20.63
25.28
24.71
.58
.54
.04
4.66
1.34
3.32
1.83
1.49

23.69
27.91
27.32
.59
.54
.04
4.22
.92
3.30
1.81
1.50

19.55
24.24
23.71
.53
.53
.01
4.70
1.92
2.77
1.38
1.39

14.75
18.97
18.38
.59
.54
.05
4.22
1.26
2.97
1.03
1.94

24.55
28.85
28.25
.60
.55
.05
4.30
1.13
3.17
1.10
2.07

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

5.39
....
....
7.81
7.20
....
7.20
.61
2.42
....
....
....
2.42

3.62
....
....
6.18
5.57
....
5.57
.61
2.56
....
....
....
2.56

5.08
....
....
7.66
7.04
....
7.04
.62
2.58
....
....
....
2.58

7.63
....
....
10.39
9.76
....
9.76
.63
2.76
....
....
....
2.76

18.74
....
....
21.57
20.96
....
20.96
.61
2.83
....
....
....
2.83

10.95
....
....
13.67
13.04
....
13.04
.63
2.72
....
....
....
2.72

10.13
....
....
13.03
12.39
....
12.39
.64
2.90
....
....
....
2.90

FINANCIAL ACCOUNT........................................ 30999S N AA

....

10.19

3.66

5.29

11.84

4.01

6.29

2.72

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

5.44
....
....
....
....
....
....
....
....
....
....
....

3.99
....
....
....
....
....
....
....
....
....
....
....

6.85
....
....
....
....
....
....
....
....
....
....
....

12.68
....
....
....
....
....
....
....
....
....
....
....

2.56
....
....
....
....
....
....
....
....
....
....
....

3.55
....
....
....
....
....
....
....
....
....
....
....

3.45
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
624
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Montserrat

351
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

5.44
.80
....
....
....
....
.80
4.64
4.64
....
....

3.99
.75
....
....
....
....
.75
3.24
3.24
....
....

6.85
.89
....
....
....
....
.89
5.97
5.97
....
....

12.68
.80
....
....
....
....
.80
11.88
11.88
....
....

2.56
.81
....
....
....
....
.81
1.75
1.75
....
....

3.55
.84
....
....
....
....
.84
2.71
2.71
....
....

3.45
.80
....
....
....
....
.80
2.65
2.65
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.13
....
....
....
....
....
....
....
....
....
....
....
....
....
.13
....
....
....
....
....
....
....
....
....
....
....
....

.06
....
....
....
....
....
....
....
....
....
....
....
....
....
.06
....
....
....
....
....
....
....
....
....
....
....
....

.10
....
....
....
....
....
....
....
....
....
....
....
....
....
.10
....
....
....
....
....
....
....
....
....
....
....
....

.53
....
....
....
....
....
....
....
....
....
....
....
....
....
.53
....
....
....
....
....
....
....
....
....
....
....
....

.48
....
....
....
....
....
....
....
....
....
....
....
....
....
.48
....
....
....
....
....
....
....
....
....
....
....
....

.38
....
....
....
....
....
....
....
....
....
....
....
....
....
.38
....
....
....
....
....
....
....
....
....
....
....
....

.37
....
....
....
....
....
....
....
....
....
....
....
....
....
.37
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4.77
3.67
....
3.67
....
....
....
3.67
....
8.44
....
....
8.44
....
2.88
.19
5.74
....

.26
3.25
....
3.25
....
.38
....
2.87
....
3.51
....
....
3.51
....
....
.18
3.69
....

1.76
4.55
....
4.55
....
.64
....
3.91
....
2.79
....
....
2.79
....
....
.38
3.17
....

3.14
3.77
....
3.77
....
1.39
....
2.38
....
.63
....
....
.63
....
....
.23
.86
....

4.42
8.13
....
8.13
....
3.88
....
4.25
....
3.71
....
....
3.71
....
....
.23
3.94
....

4.88
1.04
....
1.04
....
....
....
1.04
....
5.92
....
....
5.92
....
1.98
.17
4.11
....

1.46
9.16
....
9.16
....
8.73
....
.43
....
10.62
....
....
10.62
....
....
.18
10.80
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

.11
....
....
....
.11

.65
....
....
....
.65

.09
....
....
....
.09

2.82
....
....
....
2.82

2.63
....
....
....
2.63

2.52
....
....
....
2.52

8.00
....
....
....
8.00

NET ERRORS AND OMISSIONS.........................

....

.25

.26

.05

.22

2.03

2.50

2.23

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
625
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Morocco

686
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
949
1,315
224
5,659
5,362
4,209

8,337

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

15,946
37,333

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

4,335

4,918

7,825

13,297

12,422

11,196

16,115

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

5,441
158

6,410
177

7,786
185

7,849
211

7,278
218

7,240
254

8,071
294

B. Capital Account........................................... 20999F B AA

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
5

944

....
3

1,312

....
3

227

1
3

5,661

....
1

5,362

....
....

4,209

....
....

8,337

C. Financial Account......................................... 30999F N AA

....

88

185

718

371

1,481

1,364

2,295

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

74
74
....

451
451
....

632
632
....

316
316
....

479
479
....

580
580
....

248
248
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,620
899
721

2,366
2,590
224

2,807
2,539
267

2,466
2,423
44

1,970
2,456
486

1,241
1,369
129

2,521
2,076
445

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

4
4
....

3
3
....

16
16
....

257
257
....

12
12
....

22
22
....

400
400
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

64
64
....

298
298
....

64
64
....

148
148
....

4
4
....

132
132
....

166
166
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

891
....
891

762
....
762

1,617
....
1,617

413
....
413

56
....
56

880
....
880

536
....
536

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

803
....
803

1,043
....
1,043

1,195
....
1,195

1,257
....
1,257

63
....
63

287
....
287

791
....
791

D. Net Errors and Omissions............................. 40999S N AA

....

407

499

105

414

523

167

370

E. Reserves and Related Items.......................... 4Z999S N AA

....

449

628

840

5,704

4,404

3,012

6,413

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

2,352
....
1,904

2,711
....
2,083

2,034
....
2,874

1,306
....
4,398

148
....
4,256

1,211
....
4,224

2,760
....
3,652

Conversion rates: Moroccan dirhams per U.S.


dollar............................................................. RFZ F B

....

8.865

8.796

8.192

7.750

8.057

8.417

8.090

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

7,328
16,698

2006

8,038
19,383

2007

9,885
25,954

2008

15,252
36,651

2009

9,166
28,027

12,309
29,627

9,370

11,345

16,069

21,398

18,861

17,318

21,387

9,264
3,845

11,377
4,473

14,065
5,416

15,302
6,678

14,833
6,898

14,736
7,371

15,899
8,574

3,951

4,441

7,421

12,775

10,927

9,953

14,063

689
1,072

750
1,227

961
1,365

1,059
1,581

925
2,421

868
2,110

804
2,856

856

1,127

945

5,290

3,881

2,846

6,042

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
626
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Morocco

686
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
1,041
1,411
122
4,528
4,971
3,925
GOODS AND SERVICES..................................... 1Z9999 B XN
....
3,951
4,441
7,421 12,775 10,927
9,953
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

16,592
20,543
9,370
7,328
7,328
....
....
16,698
16,698
....
5,419
9,264
3,845
1,166
....
....
....
1,300

19,415
23,856
11,345
8,038
8,038
....
....
19,383
19,383
....
6,904
11,377
4,473
1,588
....
....
....
1,489

23,950
31,370
16,069
9,885
9,885
....
....
25,954
25,954
....
8,649
14,065
5,416
1,900
....
....
....
1,818

30,554
43,329
21,398
15,252
15,252
1
....
36,651
36,651
....
8,624
15,302
6,678
1,902
....
....
....
2,508

23,999
34,926
18,861
9,166
9,158
8
....
28,027
28,027
....
7,934
14,833
6,898
2,506
....
....
....
2,109

27,045
36,999
17,318
12,309
12,346
37
....
29,627
29,627
....
7,365
14,736
7,371
2,219
....
....
....
2,159

8,000
14,063
31,845
45,907
21,387
15,946
15,938
8
....
37,333
37,333
....
7,325
15,899
8,574
1,944
....
....
....
2,733

....
1,580

....
1,754

....
2,211

2,656

2,348

2,652

3,328

....
4,610
....
4,610
612
97
515
2,188
....
72
....
13
328
1,247
....
529
1,654
....
80
....
45
44
742
....
742

....
5,984
....
5,984
693
99
593
2,316
....
76
....
3
387
1,330
....
520
2,027
....
93
....
49
64
909
....
911

....
7,181
....
7,181
880
150
731
3,166
....
72
....
4
401
2,014
....
675
2,324
....
113
....
36
108
1,178
....
889

7,221
....
7,221
1,090
223
867
3,670
61
112
40
....
788
1,999
93
577
2,932
6
135
31
15
118
1,533
28
1,066

6,626
....
6,626
1,106
181
925
3,592
49
181
31
2
917
1,911
56
444
3,445
7
182
65
49
119
1,399
26
1,597

6,702
....
6,702
1,203
173
1,030
3,657
50
153
37
4
1,003
1,966
37
407
3,516
5
186
58
30
135
1,366
25
1,712

7,321
....
7,321
1,363
166
1,197
3,901
66
133
49
6
1,140
2,056
38
413
3,883
....
189
58
41
152
1,550
30
1,862

....
....
....
....
....
....
....
....
....
....
....

384
689
1,072
....
....
689
59
21
21
....
38

477
750
1,227
....
....
750
72
25
25
....
47

405
961
1,365
....
....
961
78
17
17
....
61

522
1,059
1,581
....
....
1,059
44
44
44
....
....

1,495
925
2,421
....
....
925
40
36
36
....
4

1,242
868
2,110
....
....
868
74
74
74
....
....

2,052
804
2,856
....
....
804
169
168
78
90
1

816
485

387
1,193

916
572

420
1,333

1,126
692

538
1,673

1,664
836
8

820
1,827
9

1,354
745
10

607
1,732
8

1,474
679
7
676
1,963
13

1,780
944
10

897
2,418
14

_______________________________________________________________________________________________________________________________
627
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Morocco

686
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
630
....
630
....
....
....
....
1,072
594
504
435
69
90
32
32
....
....
....
447
....
447
....
....
....

....
....
....
....
....
678
....
678
....
....
....
....
1,227
674
589
533
56
85
65
65
....
....
....
488
....
488
....
....
....

....
....
....
....
....
883
....
883
....
....
....
....
1,365
730
659
544
115
71
51
51
....
....
....
585
....
585
....
....
....

12
12
....
....
....
1,004
....
1,004
....
....
....
....
1,581
835
833
773
60
2
83
83
....
....
....
664
....
664
....
....
....

....
....
....
....
....
886
....
886
....
....
....
....
2,421
1,753
1,752
1,147
605
1
60
60
....
....
....
608
....
608
....
....
....

....
....
....
....
....
794
....
794
....
....
....
....
2,110
1,445
1,444
1,025
419
1
83
83
....
....
....
582
....
582
....
....
....

....
....
....
....
....
635
....
635
....
....
....
....
2,856
2,086
2,079
1,524
555
7
50
50
....
....
....
721
....
721
....
....
....

....
....
....
....
....
....
....
....
....
....
....

5,375
5,533
273
5,260
4,589
671
158
37
120
35
85

6,329
6,506
328
6,177
5,451
726
177
63
114
38
76

7,703
7,888
349
7,539
6,730
809
185
61
124
49
75

8,768
8,980
1,235
7,745
6,894
851
211
78
134
54
79

7,451
7,669
463
7,205
6,269
936
218
77
141
60
81

7,270
7,524
333
7,192
6,423
769
254
85
169
62
107

8,115
8,409
409
7,999
7,256
743
294
93
201
71
130

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

5
....
....
....
....
....
....
....
5
....
....
....
5

3
....
....
....
....
....
....
....
3
....
....
....
3

3
....
....
....
....
....
....
....
3
....
....
....
3

2
....
....
1
....
....
....
1
3
....
....
....
3

....
....
....
....
....
....
....
....
1
....
....
....
1

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

629

909

20

4,945

5,495

4,092

8,370

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

1,596
74
74
74
74
....
....
....
....
....
....
....

2,010
451
451
451
451
....
....
....
....
....
....
....

2,194
632
632
632
632
....
....
....
....
....
....
....

2,150
316
316
316
316
....
....
....
....
....
....
....

1,491
479
479
479
479
....
....
....
....
....
....
....

661
580
580
580
580
....
....
....
....
....
....
....

2,273
248
248
158
158
....
....
90
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
628
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Morocco

686
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,671
950
880
880
....
....
69
721
721
....
....

2,461
2,684
2,629
2,629
....
....
56
224
224
....
....

2,826
2,559
2,443
2,443
....
....
115
267
267
....
....

2,466
2,423
2,362
2,362
....
....
60
44
44
....
....

1,970
2,456
1,851
1,851
....
....
605
486
486
....
....

1,241
1,369
950
950
....
....
419
129
129
....
....

2,521
2,076
1,521
1,521
....
....
555
445
445
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

60
4
4
....
....
....
4
....
....
....
....
....
....
....
64
64
....
....
....
64
....
....
....
....
....
....
....

295
3
3
....
....
....
3
....
....
....
....
....
....
....
298
298
....
....
....
298
....
....
....
....
....
....
....

80
16
16
....
....
....
16
....
....
....
....
....
....
....
64
64
....
....
....
64
....
....
....
....
....
....
....

109
257
257
....
....
....
257
....
....
....
....
....
....
....
148
148
....
....
....
148
....
....
....
....
....
....
....

17
12
12
....
....
....
12
....
....
....
....
....
....
....
4
4
....
....
....
4
....
....
....
....
....
....
....

110
22
22
....
....
....
22
....
....
....
....
....
....
....
132
132
....
....
....
132
....
....
....
....
....
....
....

234
400
400
....
....
....
400
....
....
....
....
....
....
....
166
166
....
....
....
166
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

67
891
....
891
....
193
....
699
....
958
....
....
958
....
174
393
1,526
....

87
762
....
762
....
....
....
762
....
849
....
....
849
....
76
376
1,301
....

60
1,617
....
1,617
....
65
....
1,682
....
1,557
....
....
1,557
....
25
16
1,599
....

1,598
413
....
413
....
9
....
404
....
2,011
....
....
2,011
....
52
249
1,815
....

3,872
56
....
56
....
140
....
196
....
3,928
....
743
3,185
60
47
1,271
1,901
....

4,533
880
....
880
....
934
....
54
....
3,653
....
....
3,653
21
516
1,899
1,217
....

3,570
536
....
536
....
536
....
....
....
4,106
....
....
4,106
59
1,117
910
2,021
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

2,352
....
33
....
2,385

2,711
....
29
....
2,740

2,034
....
23
....
2,056

1,306
52
12
....
1,346

148
....
741
....
889

1,211
....
7
....
1,219

2,760
....
127
....
2,634

NET ERRORS AND OMISSIONS.........................

....

407

499

105

414

523

167

370

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
629
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Morocco

686
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
20,823
26,411
32,455
30,287
30,750
29,842
Direct investment............................................. 8A9999 A AA
....
666
1,054
1,337
1,699
1,861
1,914
Equity and investment fund shares................. 8AA000 A AA
....
535
984
1,246
1,552
1,799
1,854
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

535
....
....
131
131
....
....
176
176
....
60
....
116
....
....
....
....
....
....
....
....
1,335
....
1,335
....
613
77
646
....
18,646
280
79
101
18,187

984
....
....
70
70
....
....
178
171
....
69
....
101
....
8
....
....
....
8
....
....
1,559
....
1,559
....
670
83
807
....
23,620
450
53
106
23,011

1,246
....
....
92
92
....
....
916
907
....
76
....
831
....
9
....
....
....
9
....
....
1,906
....
1,906
....
654
89
1,164
....
28,296
593
32
111
27,560

1,552
....
....
147
147
....
....
1,022
946
....
74
....
872
....
76
....
....
....
76
....
....
1,790
....
1,790
....
468
88
1,234
....
25,775
613
19
109
25,035

1,799
....
....
62
62
....
....
724
707
....
93
....
614
....
17
....
....
....
17
....
....
4,585
....
4,585
....
2,993
92
1,500
....
23,579
783
763
110
21,923

1,854
....
....
60
60
....
....
962
949
....
186
....
763
....
13
....
....
....
13
....
....
3,352
....
3,352
....
1,702
89
1,562
....
23,614
1,000
743
108
21,763

26,640
1,904
1,805
1,805
....
....
100
100
....
....
752
737
....
181
....
555
....
15
....
....
....
15
....
....
3,341
....
3,341
....
1,573
87
1,681
....
20,642
1,116
616
108
18,802

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

38,242
20,752
19,017
19,017
....
....
1,735
1,735
....
....
2,037
2,017
....
348
....
1,669
....
20
....
....
2
19
....

48,815
29,939
28,214
28,214
....
....
1,725
1,725
....
....
2,110
2,108
....
433
....
1,675
....
2
....
....
....
2
....

61,309
38,613
36,531
36,531
....
....
2,082
2,082
....
....
3,277
3,271
....
952
....
2,319
....
6
....
....
....
6
....

63,130
39,388
37,348
37,348
....
....
2,041
2,041
....
....
3,210
3,210
....
1,084
....
2,126
....
....
....
....
....
....
....

71,518
42,581
40,750
40,750
....
....
1,831
1,831
....
....
3,664
3,664
....
1,356
....
2,307
....
....
....
....
....
....
....

76,413
45,082
43,428
43,428
....
....
1,653
1,653
....
....
3,576
3,576
....
1,351
....
2,225
....
....
....
....
....
....
....

76,414
44,489
42,459
42,459
....
....
2,030
2,030
....
....
3,246
3,246
....
1,107
....
2,139
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
630
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Morocco

686
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Moroccan dirhams per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
15,453
....
122
15,330
261
974
7,464
6,631
....

....
16,766
....
129
16,637
262
1,146
7,693
7,536
....

....
19,418
....
135
19,283
323
1,440
8,550
8,970
....

....
20,532
....
132
20,400
460
1,744
8,429
9,766
....

....
25,273
....
880
24,393
326
2,743
10,017
11,306
....

....
27,755
....
865
26,890
331
3,401
11,051
12,107
....

....
28,678
....
862
27,817
380
3,086
11,610
12,741
....

....

17,419

22,404

28,854

32,844

40,768

46,571

49,774

....

9.249

8.457

7.713

8.098

7.860

8.357

8.577

_______________________________________________________________________________________________________________________________
631
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mozambique

688
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
760.6
765.4
786.2 1,193.4 1,246.0 1,585.1 2,438.3
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

1,745.3
2,242.3

2,381.1
2,648.8

2,412.1
2,811.1

2,653.3
3,643.4

990.2

1,274.8

1,179.2

2,249.3

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

342.0
648.6

385.6
749.6

458.7
856.5

460.5
883.3

611.7
1,069.0

599.1
1,317.7

716.0
1,510.2

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,163.5

1,266.1

1,388.4

2,054.9

2,009.1

2,222.4

3,233.4

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

480.7
77.8

574.5
73.8

667.6
65.4

976.9
115.4

931.7
168.6

817.2
179.9

954.9
159.7

B. Capital Account........................................... 20999F B AA

....

187.9

488.5

415.1

419.9

422.3

345.5

379.0

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

191.8
3.9

572.7

490.8
2.3

276.9

416.1
1.0

371.1

427.9
8.0

773.5

428.9
6.6

350.9
5.4

380.0
1.1

C. Financial Account......................................... 30999F N AA

....

95.2

1,501.7

442.0

775.3 1,035.5 1,130.9 1,831.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

14.6
....
14.6

32.1
.4
31.6

11.0
.8
11.8

32.5
....
32.5

6.0
1.4
4.6

15.6
.6
16.2

10.8
.2
11.0

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

122.4
59.8
62.6

185.4
189.0
3.6

416.7
192.2
224.5

559.1
254.3
304.8

895.7
243.8
651.9

1,005.4
409.8
595.6

2,079.3
681.3
1,398.0

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

88.8
.1
88.7

124.2
.2
124.0

3.5
1.4
2.1

8.4
.3
8.0

4.4
.5
4.9

.3
.1
.3

34.3
3.3
31.1

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

.3
.3
....

.4
.4
....

2.1
.3
2.4

.3
.4
.1

.1
....
.1

1.1
.3
.8

.2
.2
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

16.0
16.0
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

78.5
....
78.5

13.8
....
13.8

411.5
....
411.5

73.5
....
73.5

118.6
....
118.6

265.0
....
265.0

229.8
....
229.8

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

154.3
....
154.3

1,517.5
....
1,517.5

447.4
....
447.4

265.3
....
265.3

260.0
....
260.0

404.7
....
404.7

5.6
....
5.6

D. Net Errors and Omissions............................. 40999S N AA

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

129.9
25.3
92.1

Conversion rates: meticais per U.S. dollar........ RFZ F B

....

23.0610

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

497.1

267.7

399.0

2,147.2
3,422.0

2,333.3
3,512.4

3,118.3
5,367.6

803.7

631.7

796.8

1,413.0

1,732.1

1,897.8

3,043.5

98.9
458.8

159.8
794.3

193.6
785.2

156.5
798.4

150.3
427.2

151.4
475.9

155.1
345.0

477.5

1,778.7

70.9

280.9

136.0

66.2

196.6 1,642.6

137.1

29.3
149.4
1,821.4
25.4008

1.9

823.7

1,239.5

2,059.3

211.9

108.6

227.6

118.7

16.9

153.1

549.5

120.6

195.0

44.4

321.9

285.1
4.9
143.1

140.0
....
19.5

351.6
154.7
1.9

75.4
20.6
10.4

320.6
1.5
.3

25.8403

24.3006

27.5183

33.9601

29.0676

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
632
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mozambique

688
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
760.6
765.4
786.2 1,193.4 1,246.0 1,585.1 2,438.3
GOODS AND SERVICES..................................... 1Z9999 B XN
....
803.7
631.7
796.8 1,413.0 1,732.1 1,897.8 3,043.5
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

2,087.2
2,890.9
497.1
1,745.3
1,745.3
....
....
2,242.3
2,242.3
....
306.6
342.0
648.6
....
....
....
....
89.6

2,766.8
3,398.5
267.7
2,381.1
2,381.1
....
....
2,648.8
2,648.8
....
364.0
385.6
749.6
....
....
....
....
104.8

2,870.8
3,667.7
399.0
2,412.1
2,412.1
....
....
2,811.1
2,811.1
....
397.8
458.7
856.5
....
....
....
....
129.1

230.0

264.7

294.8

336.0

363.9

408.5

568.4

129.6
5.8
123.9
176.0
5.1
170.9
122.7
22.1
.1
1.3
2.2
12.1
58.2
.4
26.3
242.6
78.6
2.4
17.6
5.7
15.5
100.8
.8
21.3

139.7
3.7
135.9
179.5
17.5
162.0
141.1
24.9
....
1.7
1.0
17.5
61.8
2.3
31.8
305.5
93.7
1.8
12.5
2.3
23.3
141.1
1.1
29.6

163.4
11.3
152.1
180.0
34.9
145.1
166.3
18.5
2.0
4.3
....
22.4
64.2
.5
54.4
381.7
62.3
3.8
19.5
2.4
23.7
233.2
.7
36.1

190.0
1.8
188.1
202.5
48.0
154.5
185.4
18.1
1.1
3.1
....
15.7
80.1
.7
66.7
344.8
33.4
3.9
9.4
1.9
11.9
237.8
.7
45.8

195.6
.5
195.1
211.8
42.2
169.6
262.3
15.0
2.7
4.1
.2
34.7
137.6
.3
67.7
493.3
109.8
7.6
12.6
3.6
37.3
263.0
1.7
57.7

197.3
.8
196.6
249.9
84.8
165.1
257.0
24.6
2.8
4.0
....
44.8
137.0
1.2
42.4
659.4
163.5
18.8
16.5
4.2
58.0
345.6
1.5
51.2

231.1
.1
231.1
222.6
51.6
171.0
266.7
16.7
6.0
4.7
.3
42.0
109.4
4.1
83.5
719.2
254.8
13.3
12.8
4.9
63.3
321.5
5.5
43.0

....
....
....
....
....
....
....
....
....
....
....

359.8
98.9
458.8
50.9
10.4
48.1
....
....
....
....
....

634.5
159.8
794.3
64.2
13.8
95.6
....
....
....
....
....

591.6
193.6
785.2
68.5
19.3
125.1
4.1
4.1
4.1
....
....

641.9
156.5
798.4
81.7
19.0
74.8
2.9
2.9
2.9
....
....

276.9
150.3
427.2
79.7
24.9
70.6
2.0
2.0
2.0
....
....

324.5
151.4
475.9
98.4
22.4
52.9
.6
.6
.6
....
....

190.0
155.1
345.0
123.7
8.8
31.4
....
....
....
....
....

7.8
57.8
24.1

11.3
204.8
13.9

5.2
69.1
30.6

17.1
242.2
5.4

19.2
46.2
63.7

29.3
253.2
12.3

3,113.7
2,758.9
2,932.3
3,834.3
4,526.7
4,491.0
4,830.2
6,877.8
990.2 1,274.8 1,179.2 2,249.3
2,653.3 2,147.2 2,333.3 3,118.3
2,653.3
2,147.2
2,333.3
3,118.3
....
....
....
....
....
....
....
....
3,643.4 3,422.0 3,512.4 5,367.6
3,643.4
3,422.0
3,512.4
5,367.6
....
....
....
....
422.8
457.3
718.7
794.1
460.5
611.7
599.1
716.0
883.3
1,069.0
1,317.7
1,510.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
85.2
153.9
144.8
218.2

.7
36.8
47.7

4.0
328.5
3.6

20.5
45.4
87.9

35.1
308.5
20.3

27.2
36.0
81.6

44.5
317.6
46.5

39.1
60.4
118.6

36.6
489.7
42.1

_______________________________________________________________________________________________________________________________
633
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mozambique

688
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

15.5
....
....
....
15.5
32.5
....
32.5
....
....
....
....
448.3
284.0
267.1
267.1
....
16.9
.7
.7
....
....
....
163.6
....
163.6
....
....
....

28.5
.1
....
....
28.4
67.1
....
67.1
....
....
....
....
780.5
471.4
467.6
390.4
77.2
3.8
.6
.6
....
....
....
308.5
....
308.5
....
....
....

41.8
.1
....
....
41.8
79.2
....
79.2
....
....
....
....
765.9
553.5
547.9
523.8
24.1
5.6
.4
.4
....
....
....
212.0
....
212.0
....
....
....

14.1
....
....
....
14.0
57.8
....
57.8
....
....
....
....
779.4
544.4
540.6
416.8
123.8
3.8
.1
.1
....
....
....
234.9
....
234.9
....
....
....

22.6
.1
....
....
22.6
46.0
....
46.0
....
....
....
....
402.3
239.9
238.9
219.3
19.5
1.1
12.4
.4
....
....
11.9
150.0
....
150.0
....
....
....

28.5
.4
....
....
28.0
23.9
....
23.9
....
....
....
....
453.5
213.7
203.2
68.8
134.3
10.5
16.6
.4
....
....
16.2
223.2
....
223.2
....
....
....

5.6
....
....
....
5.6
25.8
....
25.8
....
....
....
....
336.2
233.7
233.5
66.0
167.5
.2
3.1
....
....
....
3.1
99.4
....
99.4
....
....
....

....
....
....
....
....
....
....
....
....
....
....

402.9
480.7
373.9
106.8
8.0
98.8
77.8
.1
77.7
14.1
63.6

500.7
574.5
454.9
119.6
15.8
103.7
73.8
1.9
71.8
12.3
59.5

602.2
667.6
518.4
149.2
30.9
118.3
65.4
3.6
61.8
25.9
35.8

861.5
976.9
778.3
198.7
34.1
164.6
115.4
10.1
105.3
28.7
76.6

763.1
931.7
687.6
244.1
31.5
212.6
168.6
5.5
163.1
40.9
122.3

637.3
817.2
606.1
211.0
33.4
177.6
179.9
1.2
178.6
47.9
130.7

795.2
954.9
796.6
158.3
33.2
125.1
159.7
4.9
154.8
36.2
118.6

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

193.2
....
....
197.1
86.1
5.4
80.8
111.0
3.9
....
....
....
3.9

2,277.9
....
....
2,280.3
1,957.3
1,789.4
167.9
322.9
2.3
....
....
....
2.3

541.9
....
....
542.8
386.8
126.8
260.1
156.0
.9
....
....
....
.9

421.5
....
....
429.4
255.2
1.6
253.6
174.3
8.0
....
....
....
8.0

424.2
....
....
430.8
270.2
1.9
268.3
160.6
6.6
....
....
....
6.6

348.1
....
....
353.4
189.5
2.5
187.0
163.9
5.4
.1
....
.1
5.3

379.2
....
....
380.3
248.1
.3
247.8
132.2
1.1
....
....
....
1.1

FINANCIAL ACCOUNT........................................ 30999S N AA

....

286.4

1,648.5

178.1

653.2

838.7 1,083.9 1,509.6

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

107.9
14.6
....
....
....
....
....
....
14.6
....
14.6
....

153.3
32.1
.4
.4
.4
....
....
....
31.6
....
31.6
....

427.7
11.0
.8
.8
....
.8
....
....
11.8
.3
11.5
....

591.6
32.5
....
....
....
....
....
....
32.5
....
32.5
....

889.7
6.0
1.4
1.4
1.4
....
....
....
4.6
.1
4.6
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

989.8 2,090.1
15.6
10.8
.6
.2
.6
.2
.6
.2
....
....
....
....
....
....
16.2
11.0
.2
3.7
16.4
7.3
....
....

_______________________________________________________________________________________________________________________________
634
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mozambique

688
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

122.4
59.8
59.8
59.8
....
....
....
62.6
62.6
....
....

185.4
189.0
111.8
111.8
....
....
77.2
3.6
3.6
....
....

416.7
192.2
168.1
168.1
....
....
24.1
224.5
224.5
....
....

559.1
254.3
130.5
130.5
....
....
123.8
304.8
304.8
....
....

895.7
243.8
224.2
225.6
1.4
....
19.5
651.9
651.9
....
....

1,005.4
409.8
275.5
275.5
....
....
134.3
595.6
595.6
....
....

2,079.3
681.3
513.7
513.7
....
....
167.5
1,398.0
1,404.9
6.9
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

88.5
88.8
.1
....
....
....
.1
....
88.7
69.9
18.8
....
....
....
.3
.3
....
....
....
.3
....
....
....
....
....
....
....

123.8
124.2
.2
....
....
....
.2
....
124.0
84.1
39.9
....
....
....
.4
.4
....
....
....
.4
....
....
....
....
....
....
....

5.6
3.5
1.4
1.3
....
....
.1
....
2.1
....
2.1
....
....
....
2.1
.3
....
....
....
.3
....
2.4
2.4
....
....
....
....

8.0
8.4
.3
....
....
....
.3
....
8.0
....
8.0
....
....
....
.3
.4
....
....
....
.4
....
.1
.2
....
....
.1
....

4.5
4.4
.5
....
....
....
.5
....
4.9
....
6.0
....
1.1
....
.1
....
....
....
....
....
....
.1
.1
....
....
....
....

1.4
.3
.1
....
....
....
.1
....
.3
....
.3
....
....
....
1.1
.3
....
....
....
.3
....
.8
.8
....
....
....
....

34.2
34.3
3.3
1.7
2.3
....
.8
....
31.1
....
31.1
....
....
....
.2
.2
....
....
....
.1
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

16.0
16.0
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

137.2 1,648.8
78.5
13.8
....
....
78.5
13.8
40.9
17.5
76.3
106.9
....
....
43.1
75.5
....
....
215.7 1,635.0
....
....
....
....
215.7 1,635.0
25.6
149.1
6.4
35.6
182.5 1,443.6
52.4
6.7
....
....

57.1
411.5
....
411.5
13.1
273.4
....
151.3
....
468.6
....
....
468.6
7.9
66.4
232.5
161.8
....

209.7
73.5
....
73.5
50.0
90.2
....
213.6
....
283.2
....
....
283.2
.1
24.5
360.0
101.3
....

296.1
118.6
....
118.6
33.1
31.5
....
53.9
....
414.7
....
170.2
244.5
162.4
134.6
434.0
486.5
....

168.1
265.0
....
265.0
23.7
249.3
....
39.4
....
433.1
....
....
433.1
24.2
33.1
472.7
96.9
....

225.7
229.8
....
229.8
22.3
81.6
1.0
288.1
....
4.1
....
....
4.1
4.8
58.2
531.1
590.0
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

129.9
20.0
.2
....
150.1

29.3
11.5
....
....
17.8

285.1
18.7
.1
....
266.5

140.0
3.5
.1
....
136.6

351.6
.3
169.9
....
181.4

75.4
....
.3
....
75.7

320.6
19.0
1.5
....
303.1

NET ERRORS AND OMISSIONS.........................

....

280.9

136.0

66.2

118.7

16.9

153.1

549.5

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
635
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mozambique

688
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
2,235.9 2,536.0 3,281.3 3,708.3 4,090.3 4,521.8
Direct investment............................................. 8A9999 A AA
....
6.2
4.7
17.1
49.6
125.1
146.9
Equity and investment fund shares................. 8AA000 A AA
....
....
.4
.4
.4
1.2
1.1
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
6.2
....
6.2
....
157.2
7.2
....
7.2
....
....
....
150.1
69.9
80.1
....
....
....
....
982.6
....
982.6
156.5
339.4
....
486.7
....
1,102.3
49.0
.2
....
1,053.0

.4
....
....
5.1
....
5.1
....
281.3
7.2
....
7.2
....
.1
....
274.1
154.0
120.1
....
....
....
....
1,024.5
....
1,024.5
139.0
446.3
....
439.2
....
1,234.9
60.5
.2
....
1,174.2

. . . . 12,061.9 10,652.3
....
2,658.7 2,772.2
....
2,440.7 2,552.5
....
2,440.7
2,552.5
....
....
....
....
....
....
....
218.0
219.7
....
218.0
219.7
....
....
....
....
....
....
....
.3
.7
....
.3
.7
....
....
....
....
....
....
....
....
....
....
.3
.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

.4
....
....
16.7
.1
16.6
....
284.8
8.6
1.3
7.2
....
.1
....
276.2
154.0
122.1
....
....
....
16.0
1,443.4
....
1,443.4
133.3
719.7
....
590.5
....
1,520.0
79.3
.2
....
1,440.5

.4
....
....
49.2
.2
49.1
....
293.2
9.0
1.3
7.2
....
.5
....
284.2
154.0
130.1
....
....
....
16.0
1,689.5
....
1,689.5
131.6
689.5
....
868.4
....
1,660.0
82.7
.1
....
1,577.2

1.2
....
....
123.9
.5
123.4
....
283.0
3.6
1.3
....
....
2.3
....
279.3
154.0
124.1
....
1.2
....
16.0
1,654.2
....
1,654.2
164.7
1,027.8
....
461.7
....
2,012.0
83.1
170.3
....
1,758.6

1.1
....
....
145.8
.5
145.3
....
282.4
3.4
1.3
....
....
2.0
....
279.0
154.0
123.8
....
1.2
....
16.0
1,968.8
....
1,968.8
141.0
1,359.6
....
468.3
....
2,107.6
106.3
167.1
....
1,834.3

2011
5,092.6
154.6
1.3
1.3
....
....
153.3
.7
152.6
....
314.4
4.9
1.3
2.3
....
1.3
....
309.5
154.0
154.3
....
1.2
....
16.0
2,179.8
....
2,179.8
163.3
1,146.1
1.0
869.4
....
2,427.8
125.3
165.0
....
2,137.4

9,442.3 10,142.9 11,365.5 12,552.3 14,558.6


3,164.8 3,600.1 3,871.9 4,524.2 6,610.3
2,720.6 2,851.2 2,007.3 2,080.5 2,761.8
2,720.6
2,851.2
2,007.3
2,080.5
2,761.8
....
....
....
....
....
....
....
....
....
....
444.2
748.9 1,864.6 2,443.7 3,848.5
444.2
748.9
1,864.5
2,443.5
3,848.5
....
....
.1
.1
....
....
....
....
....
....
1.0
1.5
4.3
5.6
6.1
1.0
1.4
4.0
4.7
4.8
....
....
....
....
....
....
....
4.0
4.7
4.7
....
....
....
....
....
1.0
1.4
....
....
.1
....
....
....
....
....
....
.1
.3
.9
1.3
....
....
.1
.9
.9
....
....
....
....
....
....
....
....
....
....
....
.1
.1
....
.3
....
....
....
....
....

_______________________________________________________________________________________________________________________________
636
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Mozambique

688
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: meticais per U.S. dollar


(end of period).............................................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
9,402.9
....
....
9,402.9
159.6
73.8
4,784.4
4,385.1
....

....
7,879.3
....
....
7,879.3
12.8
38.2
3,449.4
4,378.9
....

....
6,276.5
....
....
6,276.5
21.4
104.6
3,500.7
2,649.8
....

....
6,541.3
....
....
6,541.3
21.1
129.1
3,838.8
2,552.4
....

....
7,489.3
....
170.6
7,318.6
184.9
276.3
4,149.5
2,708.0
....

....
8,022.5
....
167.6
7,854.9
206.3
321.9
3,953.2
3,373.5
....

....
7,942.2
....
167.1
7,775.1
206.7
320.1
4,484.2
2,764.1
....

....

9,826.0 8,116.2 6,161.0 6,434.6 7,275.2 8,030.6 9,466.0

....

24.1830

25.9700

23.8200

25.5000

29.1900

32.5800

27.3100

_______________________________________________________________________________________________________________________________
637
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Myanmar

518
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
581.8
793.9 1,380.7 1,247.0
986.0 1,574.2 1,423.8
Goods, credit (exports)................................................... 1A9999 C XN
Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

3,502.3
1,518.4

4,221.7
2,069.6

5,402.5
2,653.7

5,905.4
2,965.4

5,903.4
3,315.3

7,334.7
3,857.5

7,699.0
7,491.0

1,984.0

2,152.1

2,748.8

2,939.9

2,588.1

3,477.2

208.0

280.8
497.1

313.6
557.1

334.8
653.1

356.7
617.2

349.2
617.2

369.2
789.0

671.8
1,090.2
195.2
1,797.7

1,767.7

1,908.6

2,430.6

2,679.4

2,320.1

3,057.5

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

55.0
1,413.1

96.8
1,332.6

672.8

174.1
1,428.4

1,176.3

176.9
1,917.2

94.7
1,861.9

552.9

147.5
1,869.5

1,335.5

1,812.9

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

195.8
23.6

159.8
38.7

231.6
27.2

360.5
52.6

496.6
63.4

345.7
107.1

493.0
103.9

B. Capital Account........................................... 20999F B AA

....

....

....

....

....

....

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

....
....

581.8

....
....

793.9

....
....

1,380.7

....
....

1,247.0

....
....

....
....

....
....

C. Financial Account......................................... 30999F N AA

....

164.5

250.4

643.3

993.3 1,538.5 1,117.3 1,706.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

234.9
234.9
....

275.8
275.8
....

709.9
709.9
....

863.9
863.9
....

1,079.0
1,079.0
....

901.1
901.1
....

1,000.6
1,000.6
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

70.4
....
70.4

746.3

25.4
....
25.4

1,044.3

66.6
....
66.6

129.4
....
129.4

459.5
....
459.5

216.2
....
216.2

706.1
....
706.1

D. Net Errors and Omissions............................. 40999S N AA

....

604.2

625.7

E. Reserves and Related Items.......................... 4Z999S N AA

....

142.1

418.6

1,688.3

878.5

1,199.9

558.5

1,270.7

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

142.1
....
....

418.6
....
....

1,688.3
....
....

878.5
....
....

1,199.9
....
....

558.5
....
....

1,270.7
....
....

Conversion rates: kyats per U.S. dollar............. RFZ F B

....

5.8182

5.8429

5.6169

5.4415

5.5764

5.6349

5.4441

409.6

2,024.0

939.1

2,240.3

986.0

2,524.5

1,574.2

2,691.5

335.7 1,361.9 1,324.6 2,132.9

210.4

1,423.8

282.8

987.8

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
638
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Myanmar

518
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
581.8
793.9 1,380.7 1,247.0
986.0 1,574.2 1,423.8
GOODS AND SERVICES..................................... 1Z9999 B XN
....
1,767.7 1,908.6 2,430.6 2,679.4 2,320.1 3,057.5
210.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

3,783.1
2,015.4
1,984.0
3,502.3
3,502.3
....
....
1,518.4
1,518.4
....
216.3
280.8
497.1
24.2
....
....
....
118.5

4,535.3
2,626.7
2,152.1
4,221.7
4,221.7
....
....
2,069.6
2,069.6
....
243.5
313.6
557.1
37.0
....
....
....
128.8

5,737.3
3,306.8
2,748.8
5,402.5
5,402.5
....
....
2,653.7
2,653.7
....
318.3
334.8
653.1
30.7
....
....
....
111.6

6,262.1
3,582.7
2,939.9
5,905.4
5,905.4
....
....
2,965.4
2,965.4
....
260.5
356.7
617.2
54.1
....
....
....
121.7

6,252.6
3,932.6
2,588.1
5,903.4
5,859.4
44.1
....
3,315.3
3,315.3
....
268.0
349.2
617.2
79.9
....
....
....
138.6

7,704.0
4,646.5
3,477.2
7,334.7
7,283.1
51.6
....
3,857.5
3,857.5
....
419.8
369.2
789.0
57.9
....
....
....
148.2

8,370.8
8,581.2
208.0
7,699.0
7,622.1
76.9
....
7,491.0
7,491.0
....
418.5
671.8
1,090.2
136.7
....
....
....
173.8

195.1

251.5

305.8

456.3

458.8
....

448.8
....

750.7

55.6
....
....
51.9
....
....
75.0
....
....
....
....
....
40.9
....
34.1
106.6
....
....
....
....
....
61.9
20.7
23.9

71.9
....
....
53.3
....
....
91.2
....
....
....
....
....
59.4
....
31.8
286.9
....
....
....
....
....
240.8
10.7
35.4

16.4
44.8
57.3

2.6
187.9
4.7

67.0
....
....
30.8
....
....
71.1
....
....
....
....
....
49.7
....
21.5
271.1
....
....
....
....
....
252.7
2.5
16.0

13.0
47.8
68.1

2.8
246.8
1.9

45.9
....
....
36.6
....
....
102.0
....
....
....
....
....
79.1
....
22.9
269.0
....
....
....
....
....
246.6
6.7
15.7

12.0
36.8
62.8

3.0
301.1
1.7

85.1
....
....
36.2
....
....
107.5
....
....
....
....
....
85.4
....
22.1
311.1
....
....
....
....
....
279.3
8.0
23.9

11.8
26.9
83.0

.7
452.7
3.0

68.3
....
....
48.7
....
....
112.6
....
....
....
....
....
84.1
....
28.5
112.2
....
....
....
....
....
78.9
14.6
18.6

19.0
34.3
85.3

454.9
3.9

18.8
24.4
105.1

447.2
1.6

12.3
33.4
128.1

9.4
741.3

....
280.6
....
....
123.4
....
....
80.7
15.0
....
....
....
....
34.2
....
31.5
216.1
....
....
....
....
....
192.4
.1
23.6

. . . . 1,358.1 1,235.8 1,254.2 1,740.3 1,767.2 1,722.0 1,602.5


....
55.0
96.8
174.1
176.9
94.7
147.5
195.2
....
1,413.1
1,332.6
1,428.4
1,917.2
1,861.9
1,869.5
1,797.7
....
43.3
50.1
81.0
54.7
54.5
114.9
127.1
....
....
....
....
....
....
....
....
....
11.7
46.7
93.1
122.2
40.2
32.7
68.1
....
....
....
3.6
11.0
8.5
18.9
9.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
639
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Myanmar

518
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
11.7
....
11.7
....
....
....
....
1,413.1
1,388.5
....
....
....
....
....
....
....
....
....
24.6
....
24.6
....
....
....

....
....
....
....
....
46.7
....
46.7
....
....
....
....
1,332.6
1,303.7
....
....
....
....
....
....
....
....
....
28.9
....
28.9
....
....
....

....
....
....
....
....
89.5
....
89.5
....
....
....
....
1,428.4
1,387.4
....
....
....
....
....
....
....
....
....
41.0
....
41.0
....
....
....

....
....
....
....
....
111.2
....
111.2
....
....
....
....
1,917.2
1,883.5
....
....
....
....
....
....
....
....
....
33.7
....
33.7
....
....
....

....
....
....
....
....
31.8
....
31.8
....
....
....
....
1,861.9
1,810.6
....
....
....
....
....
....
....
....
....
51.4
....
51.4
....
....
....

....
....
....
....
....
13.8
....
13.8
....
....
....
....
1,869.5
1,816.2
....
....
....
....
....
....
....
....
....
53.3
....
53.3
....
....
....

....
....
....
....
....
58.7
....
58.7
....
....
....
....
1,797.7
1,720.6
....
....
....
....
....
....
....
....
....
77.2
....
77.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....

172.2
195.8
48.2
147.6
86.2
61.5
23.6
....
23.6
18.8
4.8

121.1
159.8
31.9
127.9
65.0
62.9
38.7
....
38.7
31.4
7.3

204.4
231.6
35.5
196.1
....
....
27.2
....
27.2
....
....

307.9
360.5
54.4
306.1
....
....
52.6
....
52.6
....
....

433.2
496.6
201.2
295.3
....
....
63.4
....
63.4
....
....

238.7
345.7
79.2
266.6
....
....
107.1
....
107.1
....
....

389.1
493.0
41.0
452.0
....
....
103.9
....
103.9
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

22.4

168.2

1,045.0

114.9

338.6

558.8

436.0

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

234.9
....
....
....
....
....
....
....
....
....
....
....

275.8
....
....
....
....
....
....
....
....
....
....
....

709.9
....
....
....
....
....
....
....
....
....
....
....

863.9 1,079.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

901.1 1,000.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
640
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Myanmar

518
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

234.9
234.9
234.9
234.9
....
....
....
....
....
....
....

275.8
275.8
275.8
275.8
....
....
....
....
....
....
....

709.9
709.9
709.9
709.9
....
....
....
....
....
....
....

863.9
863.9
863.9
863.9
....
....
....
....
....
....
....

1,079.0
1,079.0
1,079.0
1,079.0
....
....
....
....
....
....
....

901.1
901.1
901.1
901.1
....
....
....
....
....
....
....

1,000.6
1,000.6
1,000.6
1,000.6
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

70.4
....
....
....
....
....
....
....
....
70.4
....
....
70.4
10.4
9.4
87.2
2.9
....

25.4
....
....
....
....
....
....
....
....
25.4
....
....
25.4
7.9
17.6
31.5
3.6
....

66.6
....
....
....
....
....
....
....
....
66.6
....
....
66.6
47.2
1.2
20.4
.2
....

129.4
....
....
....
....
....
....
....
....
129.4
....
....
129.4
24.1
6.9
160.4
....
....

459.5
....
....
....
....
....
....
....
....
459.5
....
315.8
143.7
40.9
39.1
145.6
....
....

216.2
....
....
....
....
....
....
....
....
216.2
....
....
216.2
26.5
17.5
225.1
....
....

706.1
....
....
....
....
....
....
....
....
706.1
....
....
706.1
30.2
25.6
710.7
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

142.1
....
.2
....
141.9

418.6
....
.1
....
418.7

1,688.3
....
.2
....
1,688.2

878.5
....
.3
....
878.8

1,199.9
....
109.1
....
1,090.8

558.5
....
108.6
....
667.1

1,270.7
....
1.7
....
1,272.3

NET ERRORS AND OMISSIONS.........................

....

604.2

625.7

335.7 1,361.9 1,324.6 2,132.9

987.8

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
641
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Myanmar

518
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
885.2 1,375.5 3,239.3 4,051.1 5,330.0 5,905.4
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
885.2
118.3
.2
....
766.7

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
1,375.5
144.6
.2
....
1,230.7

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
3,239.3
193.9
.4
....
3,045.0

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
4,051.1
210.2
.1
....
3,840.9

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
5,330.0
247.1
113.3
....
4,969.6

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
5,905.4
322.6
2.6
....
5,580.3

2011
7,126.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
7,126.5
351.2
1.0
....
6,774.4

. . . . 10,081.6 10,817.9 11,864.6 12,606.5 14,416.9 15,476.6 17,039.2


....
4,686.0 5,191.2 6,087.9 6,809.3 7,957.5 8,751.5 9,667.2
....
4,686.0 5,191.2 6,087.9 6,809.3 7,957.5 8,751.5 9,667.2
....
4,686.0
5,191.2
6,087.9
6,809.3
7,957.5
8,751.5
9,667.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
642
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Myanmar

518
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: kyats per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
5,395.6
....
62.1
5,333.4
299.8
47.6
....
....
....

....
5,626.7
....
65.4
5,561.3
306.0
67.9
....
....
....

....
5,776.7
....
68.7
5,708.0
272.9
70.6
....
....
....

....
5,797.3
....
67.0
5,730.3
245.0
63.9
....
....
....

....
6,459.4
....
385.3
6,074.1
205.8
104.6
....
....
....

....
6,725.1
....
378.5
6,346.7
175.9
120.9
....
....
....

....
7,372.1
....
377.3
6,994.7
145.9
144.8
....
....
....

....
....

9,196.3 9,442.4 8,625.3 8,555.4 9,086.9 9,571.2 9,912.8


5.9897

5.7170

5.4442

5.5521

5.5017

5.5802

5.6152

_______________________________________________________________________________________________________________________________
643
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Namibia

728
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
266.8 1,016.5
694.4
77.0
403.0
239.1

584.7

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

2,069.9
2,326.2

2,646.6
2,544.2

2,922.1
3,101.6

3,140.4
3,833.3

4,373.0
5,585.5

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

412.6
368.8

525.7
429.0

598.6
512.3

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

339.6

136.2

251.5

873.3

1,390.8

1,126.4

1,470.2

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

651.1
44.7

925.6
45.4

998.3
52.3

1,009.3
59.0

1,063.9
76.1

974.8
87.5

965.7
80.2

B. Capital Account........................................... 20999F B AA

....

79.6

83.3

83.4

77.2

66.7

112.5

186.8

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

80.2
.5

346.4

83.8
.5

1,099.8

83.9
.5

777.8

77.6
.4

154.2

75.1
8.3

336.2

122.3
9.8

126.6

197.3
10.5

398.0

C. Financial Account......................................... 30999F N AA

....

874.8

1,525.3

1,467.0

901.1

604.5

634.4

12.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

10.3
.5
10.9

206.2
6.6
212.9

48.7
2.3
51.0

7.2
2.3
4.8

12.8
1.4
11.4

26.0
4.5
30.4

20.0
6.7
26.8

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

168.0
204.5
36.4

187.9
154.4
33.5

118.5
184.1
65.7

409.9
134.1
275.8

514.9
190.6
324.4

675.0
441.5
233.6

936.7
395.5
541.2

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

1,052.8
754.2
298.7

1,133.0
785.7
347.3

1,482.9
1,210.6
272.3

1,027.2
756.3
271.0

586.8
530.8
56.0

717.2
397.9
319.3

881.5
335.9
545.6

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

5.1
5.1
....

4.7
4.7
....

4.5
4.5
....

3.9
3.9
....

4.0
3.7
.3

4.4
4.4
....

488.5
4.4
484.0

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

.1
....
.1

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

43.2
....
43.2

353.7
....
353.7

136.2
....
136.2

111.0
....
111.0

376.0
....
376.0

473.1
....
473.1

399.0
....
399.0

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

48.6
....
48.6

25.0
....
25.0

292.0
....
292.0

169.5
....
169.5

173.7
....
173.7

149.5
....
149.5

112.0
....
112.0

D. Net Errors and Omissions............................. 40999S N AA

....

127.9

122.0

484.5

634.0

E. Reserves and Related Items.......................... 4Z999S N AA

....

400.5

303.5

204.7

112.9

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

1.1
....
401.6

164.2
....
467.6

566.6
....
771.4

753.3
....
866.2

119.0
....
797.7

529.1
....
549.2

329.9
....
642.6

Conversion rates: Namibia dollars per U.S.


dollar............................................................. RFZ F B

....

6.359

6.772

7.045

8.261

8.474

7.321

7.261

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

256.3

2006

102.4

2007

179.5

2008

2009

692.8

3,146.3
4,396.6

1,250.3

4,025.7
4,914.7

889.0

1,212.4

554.7
585.3

653.5
575.5

897.1
701.3

944.4
724.1

212.4

199.1

93.2

723.4

1,172.3

693.2

992.0

225.4
352.6

256.0
318.9

277.3
435.6

324.3
474.2

263.0
481.5

293.2
726.4

321.6
799.8

528.4

425.5

689.2

746.9

940.8

761.0

385.3

262.1

317.2

72.6

678.7 1,078.3

312.7

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
644
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Namibia

728
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
333.4 1,082.4
748.8
256.8
122.1
105.5
GOODS AND SERVICES..................................... 1Z9999 B XN
....
212.4
199.1
93.2
723.4 1,172.3
693.2
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2,482.5
2,695.0
256.3
2,069.9
2,069.9
....
....
2,326.2
2,326.2
....
43.8
412.6
368.8
....
....
....
....
22.5

3,172.3
2,973.2
102.4
2,646.6
2,646.6
....
....
2,544.2
2,544.2
....
96.7
525.7
429.0
....
....
....
....
101.5

3,520.8
3,613.9
179.5
2,922.1
2,922.1
....
....
3,101.6
3,101.6
....
86.3
598.6
512.3
....
....
....
....
119.8

....

....

....

130.7
....

149.8
....

241.0
....

238.1
....

198.1
....

219.2
....

266.6
....

....
349.0
89.4
259.6
108.2
13.4
94.8
41.1
....
.1
....
....
16.8
2.4
....
21.7
129.9
3.9
9.4
9.5
1.7
13.3
82.7
....
9.3

....
381.3
60.7
320.6
118.3
9.1
109.2
42.8
....
1.7
....
....
16.9
4.0
....
20.2
160.9
24.6
18.1
4.4
3.0
21.4
80.6
....
8.8

....
434.1
48.6
385.5
132.2
7.3
124.9
44.8
....
5.1
....
....
16.2
4.2
....
19.3
139.1
9.0
25.8
4.9
1.9
15.8
73.2
....
8.4

....
382.5
49.3
333.2
114.3
6.4
107.9
57.1
....
3.2
15.5
....
13.0
8.8
....
16.7
232.9
23.7
13.6
4.8
15.2
19.3
149.0
....
7.3

....
405.3
49.0
356.3
119.7
6.2
113.5
131.2
....
2.8
2.5
....
13.9
95.7
....
16.3
257.7
91.5
17.0
.9
5.8
30.6
104.8
....
7.1

....
439.2
56.1
383.1
144.8
7.1
137.7
321.2
....
5.7
2.7
....
15.6
278.6
....
18.6
337.2
52.9
33.2
15.0
7.6
31.6
189.2
....
7.7

....
518.2
56.7
461.4
206.7
7.2
199.6
282.5
....
6.0
2.8
....
14.9
239.9
....
18.8
250.8
41.3
34.9
2.4
7.3
31.2
126.0
....
7.7

....
....
....
....
....
....
....
....
....
....
....

127.2
225.4
352.6
10.5
14.1
214.9
7.8
2.3
.3
2.1
5.5

62.9
256.0
318.9
9.9
15.7
246.1
.7
1.0
.2
1.3
1.7

158.4
277.3
435.6
9.5
11.8
267.8
4.9
.3
.2
.5
5.2

149.9
324.3
474.2
8.2
39.1
316.1
22.2
2.8
.2
2.6
19.4

218.4
263.0
481.5
8.0
12.3
255.0
13.6
1.1
.2
1.2
14.7

433.2
293.2
726.4
9.3
28.2
283.9
27.1
1.2
....
1.2
25.9

478.2
321.6
799.8
9.4
41.5
312.2
13.3
2.6
....
2.6
15.9

8.4

130.7

92.4

9.1

149.8

108.4

11.4

241.0

101.6

106.0

....

....

13.5

238.1

11.0

198.1

4,922.7
5,616.0
889.0
4,025.7
4,025.7
....
....
4,914.7
4,914.7
....
195.8
897.1
701.3
....
....
....
....
136.6

148.4
992.0
5,317.5
6,309.5
1,212.4
4,373.0
4,373.0
....
....
5,585.5
5,585.5
....
220.4
944.4
724.1
....
....
....
....
143.8

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

14.1

3,695.1
3,799.8
4,418.5
4,972.1
692.8 1,250.3
3,140.4 3,146.3
3,140.4
3,146.3
....
....
....
....
3,833.3 4,396.6
3,833.3
4,396.6
....
....
30.6
78.0
554.7
653.5
585.3
575.5
....
....
....
....
....
....
....
....
115.1
117.0

2011

121.4

....

15.2

219.2

127.0

....

16.7

266.6

_______________________________________________________________________________________________________________________________
645
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Namibia

728
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

163.9
88.0
....
....
75.9
43.2
....
43.2
....
....
....
....
338.5
285.2
279.9
73.6
206.3
5.3
25.4
....
....
....
25.4
27.9
....
27.9
....
....
....

207.6
145.0
....
....
62.7
37.8
....
37.8
....
....
....
....
303.2
257.3
252.2
96.0
156.2
5.1
24.9
.6
....
....
24.3
21.1
....
21.1
....
....
....

204.3
134.8
....
....
69.6
58.6
....
58.6
....
....
....
....
423.9
373.6
369.6
183.8
185.8
4.0
24.2
.8
....
....
23.3
26.1
....
26.1
....
....
....

202.9
111.9
....
....
91.0
90.9
....
90.9
....
....
....
....
435.1
389.2
382.8
247.2
135.6
6.4
20.8
.7
....
....
20.1
25.1
....
25.1
....
....
....

176.9
92.5
....
....
84.3
64.5
....
64.5
....
....
....
....
469.2
400.2
394.0
202.0
192.0
6.3
41.1
.7
....
....
40.5
27.8
....
27.8
....
....
....

151.2
75.5
....
....
75.7
105.6
....
105.6
....
....
....
....
698.2
651.6
648.8
205.7
443.1
2.8
27.8
.5
....
....
27.3
18.8
....
18.8
....
....
....

193.6
102.6
....
....
91.0
105.2
....
105.2
....
....
....
....
758.3
711.9
698.7
301.6
397.1
13.1
23.2
.6
....
....
22.7
23.2
....
23.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....

673.0
717.7
692.0
25.8
7.1
18.7
44.7
39.9
4.8
4.2
.6

946.1
991.5
964.3
27.2
6.5
20.7
45.4
40.8
4.6
4.0
.6

1,000.3
1,052.7
1,029.7
22.9
6.2
16.7
52.3
47.9
4.4
3.8
.6

1,130.1
1,189.1
1,168.4
20.7
5.4
15.3
59.0
55.2
3.8
3.3
.5

1,268.7
1,344.7
1,324.9
19.8
5.3
14.5
76.1
72.4
3.7
3.2
.5

1,231.9
1,319.4
1,299.5
20.0
6.0
14.0
87.5
83.1
4.4
3.8
.5

1,321.9
1,402.1
1,381.5
20.5
6.1
14.5
80.2
75.8
4.4
3.9
.6

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

79.6
....
....
80.2
76.0
....
76.0
4.1
.5
....
....
....
.5

83.3
....
....
83.8
80.0
....
80.0
3.8
.5
....
....
....
.5

83.4
....
....
83.9
80.2
....
80.2
3.7
.5
....
....
....
.5

77.2
....
....
77.6
74.4
....
74.4
3.2
.4
....
....
....
.4

66.7
....
....
75.1
72.0
....
72.0
3.1
8.3
7.9
....
7.9
.4

112.5
....
....
122.3
118.5
....
118.5
3.8
9.8
9.3
....
9.3
.5

186.8
....
....
197.3
193.4
....
193.4
3.9
10.5
10.0
....
10.0
.6

FINANCIAL ACCOUNT........................................ 30999S N AA

....

540.9

1,287.7

1,316.7

967.9

206.7

99.3

111.0

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

403.1
10.3
.5
1.5
1.5
....
....
2.1
10.9
12.8
1.9
....

403.5
206.2
6.6
5.4
5.4
....
....
1.3
212.9
5.9
218.8
....

718.5
48.7
2.3
2.8
2.8
....
....
.5
51.0
.5
51.5
....

742.6
7.2
2.3
.3
.3
....
....
2.6
4.8
3.9
.9
....

562.7
12.8
1.4
.2
.2
....
....
1.2
11.4
1.7
9.7
....

712.3
26.0
4.5
3.2
3.2
....
....
1.2
30.4
.4
30.8
....

948.8
20.0
6.7
4.2
4.2
....
....
2.6
26.8
3.6
23.2
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
646
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Namibia

728
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

392.8
429.2
222.9
222.9
....
....
206.3
36.4
36.4
....
....

609.8
576.3
420.1
420.1
....
....
156.2
33.5
33.5
....
....

669.8
735.5
549.6
549.6
....
....
185.8
65.7
65.7
....
....

749.8
473.9
338.4
338.4
....
....
135.6
275.8
275.8
....
....

549.8
225.4
33.5
33.5
....
....
192.0
324.4
324.4
....
....

686.3
452.7
9.6
9.6
....
....
443.1
233.6
233.6
....
....

968.9
427.6
30.5
30.5
....
....
397.1
541.2
541.2
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,045.6
1,052.8
754.2
....
....
....
754.2
....
298.7
....
....
....
298.7
....
7.3
5.1
....
.1
....
4.9
....
2.2
....
....
2.2
....
....

1,125.8
1,133.0
785.7
....
....
....
785.7
....
347.3
....
....
....
347.3
....
7.1
4.7
....
.1
....
4.6
....
2.4
....
....
2.4
....
....

1,476.6
1,482.9
1,210.6
....
....
....
1,210.6
....
272.3
....
....
....
272.3
....
6.3
4.5
....
.1
....
4.4
....
1.8
....
....
1.8
....
....

1,022.0
1,027.2
756.3
....
....
....
756.3
....
271.0
....
....
....
271.0
....
5.2
3.9
....
.1
....
3.8
....
1.3
....
....
1.3
....
....

581.5
586.8
530.8
....
12.5
....
518.4
....
56.0
....
14.2
....
41.7
....
5.2
3.7
....
....
....
3.7
....
1.5
....
.3
1.3
....
....

711.2
717.2
397.9
....
1.6
....
396.3
....
319.3
....
24.9
....
344.2
....
6.0
4.4
....
....
....
4.4
....
1.6
....
....
1.6
....
....

391.3
881.5
335.9
....
....
....
335.9
....
545.6
....
215.3
....
330.3
....
490.1
4.4
....
....
....
4.4
....
485.7
481.9
2.1
1.7
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

.1
....
.1

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

102.6
43.2
....
43.2
....
51.1
6.3
1.6
....
59.4
....
....
59.4
....
61.6
14.2
16.3
....

401.3
353.7
....
353.7
....
356.2
5.9
8.3
....
47.5
....
....
47.5
....
77.3
18.5
11.3
....

8.1
136.2
....
136.2
....
191.4
5.6
49.6
....
128.1
....
....
128.1
....
11.7
6.8
123.2
....

64.8
111.0
....
111.0
....
44.2
4.9
61.9
....
175.8
....
....
175.8
....
2.0
6.3
167.5
....

68.9
376.0
....
376.0
11.2
396.1
4.7
13.7
....
307.0
....
203.9
103.1
5.0
152.3
5.6
266.1
....

430.9
473.1
....
473.1
....
535.8
5.5
68.1
....
42.2
....
....
42.2
5.2
47.2
21.6
21.4
....

338.7
399.0
....
399.0
....
621.7
5.5
228.2
....
60.3
....
....
60.3
7.7
1.4
36.7
32.8
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1.1
....
....
....
1.0

164.2
....
....
....
164.2

566.6
....
....
....
566.6

753.3
....
....
....
753.3

119.0
....
203.9
....
84.9

529.1
....
....
....
529.1

329.9
....
199.5
....
529.4

NET ERRORS AND OMISSIONS.........................

....

127.9

122.0

484.5

634.0

262.1

317.2

72.6

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
647
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Namibia

728
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
4,717.9 5,966.2 8,433.8 6,843.5 10,333.7 10,609.1 10,158.2
Direct investment............................................. 8A9999 A AA
....
25.7
7.3
15.6
11.4
68.4
50.5
29.1
Equity and investment fund shares................. 8AA000 A AA
....
21.6
5.4
12.7
8.1
24.8
32.3
5.4
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

21.6
....
....
4.1
4.1
....
....
4,095.0
2,977.2
....
....
....
2,977.2
....
1,117.8
....
....
....
1,117.8
....
....
302.9
....
302.9
....
82.5
1.4
218.9
....
294.4
....
....
.1
294.2

5.4
....
....
1.9
1.9
....
....
4,493.4
3,304.3
....
....
....
3,304.3
....
1,189.0
....
....
....
1,189.0
....
....
1,043.7
....
1,043.7
....
846.8
4.7
192.2
....
421.8
....
....
.1
421.7

12.7
....
....
2.9
2.9
....
....
6,022.8
3,643.4
....
....
....
3,643.4
....
2,379.5
....
....
....
2,379.5
....
....
1,440.7
....
1,440.7
....
1,301.6
6.0
133.2
....
954.6
....
....
.1
954.5

8.1
....
....
3.2
3.2
....
....
4,260.1
2,182.9
....
....
....
2,182.9
....
2,077.2
....
....
....
2,077.2
....
....
1,205.7
....
1,205.7
....
977.9
8.8
219.0
....
1,366.4
....
....
.1
1,366.2

24.8
....
....
43.6
43.6
....
....
5,723.3
3,364.6
....
....
....
3,364.6
....
2,358.7
....
....
....
2,358.7
....
....
2,463.7
....
2,463.7
....
2,197.3
12.2
254.2
....
2,078.3
....
204.4
.1
1,873.7

32.3
....
....
18.2
18.2
....
....
5,049.6
2,332.5
....
....
....
2,332.5
....
2,717.1
....
....
....
2,717.1
....
....
3,768.8
....
3,768.8
....
2,198.3
13.8
1,556.7
....
1,740.2
....
200.8
.1
1,539.3

5.4
....
....
23.7
23.7
....
....
4,453.8
2,725.4
....
....
....
2,725.4
....
1,728.4
....
....
....
1,728.4
....
....
3,885.3
....
3,885.3
....
3,198.0
11.3
676.0
....
1,789.9
....
8.1
.1
1,781.7

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

4,123.9
2,453.4
2,260.0
2,260.0
....
....
193.5
193.5
....
....
92.4
15.6
....
....
....
15.6
....
76.9
....
....
76.9
....
....

4,641.2
2,785.7
2,381.6
2,381.6
....
....
404.1
404.1
....
....
83.8
14.1
....
....
....
14.1
....
69.7
....
....
69.7
....
....

5,126.5
3,854.4
2,851.3
2,851.3
....
....
1,003.1
1,003.1
....
....
85.8
14.4
....
....
....
14.4
....
71.4
....
....
71.4
....
....

4,451.1
3,542.6
2,438.8
2,438.8
....
....
1,103.9
1,103.9
....
....
62.8
10.5
....
....
....
10.5
....
52.2
....
....
52.2
....
....

4,260.8
3,132.5
1,870.9
1,870.9
....
....
1,261.5
1,261.5
....
....
79.1
13.3
....
....
....
13.3
....
65.9
....
....
65.9
....
....

6,794.4
5,333.9
3,546.4
3,546.4
....
....
1,787.5
1,787.5
....
....
88.1
14.8
....
....
....
14.8
....
73.3
....
....
73.3
....
....

6,990.4
4,669.7
2,412.9
2,412.9
....
....
2,256.8
2,256.8
....
....
503.3
12.0
....
....
....
12.0
....
491.2
....
....
491.2
....
....

_______________________________________________________________________________________________________________________________
648
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Namibia

728
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: Namibia dollars per U.S.


dollar (end of period).................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

....
1,578.0
....
....
1,578.0
....
297.6
575.3
705.0
....

....
1,771.7
....
....
1,771.7
....
364.7
615.9
791.1
....

....
1,186.3
....
....
1,186.3
....
392.9
626.5
166.9
....

....
845.7
....
....
845.7
....
165.4
597.1
83.3
....

....
1,049.2
....
204.4
844.8
.7
41.9
677.8
124.4
....

....
1,372.4
....
200.8
1,171.6
1.3
120.2
705.1
345.1
....

....
1,817.4
....
200.2
1,617.2
....
94.4
1,178.4
344.3
....

....

594.0

1,325.0

3,307.3

2,392.4

6,072.9

3,814.7

3,167.8

....

6.325

6.970

6.810

9.305

7.380

6.632

8.143

_______________________________________________________________________________________________________________________________
649
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Nepal

558
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
1.1
10.4
130.0
384.5
227.5
437.8

49.0

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,379.7

1,637.3

2,082.2

2,509.8

3,407.2

4,220.2

4,437.4

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,441.3
60.5

1,695.7
68.9

1,993.7
41.5

2,945.5
51.2

3,289.5
109.8

3,835.8
53.4

4,538.5
52.1

B. Capital Account........................................... 20999F B AA

....

40.3

46.3

75.4

113.6

132.4

185.4

189.5

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

40.5
.2

41.4

46.4
.1

35.9

75.5
.1

54.7

115.0
1.4

498.1

132.9
.6

95.1

186.4
1.0

252.3

190.3
.7

238.6

C. Financial Account......................................... 30999F N AA

....

276.5

117.5

269.4

86.4

184.4

168.1

47.1

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

2.5
2.5
....

6.6
6.6
....

5.7
5.3
.5

1.0
5.3
6.3

38.2
....
38.2

87.8
....
87.8

94.0
94.0
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

242.4
....
242.4

250.9
....
250.9

161.0
....
161.0

386.7
....
386.7

306.2
....
306.2

355.6
....
355.6

300.1
....
300.1

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

36.5
....
36.5

235.1

140.0
....
140.0

81.6

114.2
....
114.2

299.3
....
299.3

83.7
....
83.7

435.9
....
435.9

253.1
....
253.1

D. Net Errors and Omissions............................. 40999S N AA

....

139.0

E. Reserves and Related Items.......................... 4Z999S N AA

....

96.1

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

Conversion rates: Nepalese rupees per U.S.


dollar............................................................. RFZ F B

....

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

902.9
2,276.5

848.8
2,441.0

924.9
2,932.6

986.6
3,519.3

837.4
4,265.4

901.8
5,016.4

999.0
5,665.1

1,373.6

1,592.2

2,007.6

2,532.8

3,428.1

4,114.6

4,666.1

380.3
434.7

385.7
492.8

511.3
722.6

723.7
851.7

705.3
842.2

671.8
871.0

863.5
782.2

1,428.0

1,699.4

2,218.9

2,660.9

3,564.9

4,313.7

4,584.8

139.9
91.6

158.2
96.1

224.3
87.6

235.6
84.6

210.1
52.4

209.8
116.2

287.7
140.3

324.1

411.7

279.5

84.2

285.7

108.5

19.1

107.5

72.6

186.1

283.0

26.9

305.0

304.2

352.1

270.3

568.6

170.9
....
267.0

329.0
21.2
280.8

1.1
33.1
273.0

831.2
....
526.9

1.8
2.2
352.5

199.6
37.5
432.3

995.1
4.5
431.0

71.368

72.756

66.415

69.762

77.545

73.156

74.020

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
650
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Nepal

558
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
153.1
150.1
5.7
733.3
18.4
128.1
288.6
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,428.0 1,699.4 2,218.9 2,660.9 3,564.9 4,313.7 4,584.8
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
1,283.2
1,234.5
1,436.3
1,710.2
1,542.7
1,573.7
1,862.4
....
2,711.2
2,933.9
3,655.2
4,371.1
5,107.6
5,887.4
6,447.3
. . . . 1,373.6 1,592.2 2,007.6 2,532.8 3,428.1 4,114.6 4,666.1
....
902.9
848.8
924.9
986.6
837.4
901.8
999.0
....
902.9
848.8
924.9
986.6
837.4
901.8
999.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
2,276.5 2,441.0 2,932.6 3,519.3 4,265.4 5,016.4 5,665.1
....
2,276.5
2,441.0
2,932.6
3,519.3
4,265.4
5,016.4
5,665.1
....
....
....
....
....
....
....
....
....
54.4
107.1
211.3
128.1
136.9
199.1
81.3
....
380.3
385.7
511.3
723.7
705.3
671.8
863.5
....
434.7
492.8
722.6
851.7
842.2
871.0
782.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
32.6
35.1
37.0
27.3
38.3
39.9
40.6
29.3
29.2
34.4
18.4
26.0
34.3
32.0
....
....
....
....
....
....
....
....
....
3.3
5.9
2.7
8.9
12.3
5.6
8.6
....
....
160.8
186.3
287.3
331.9
271.4
281.4
278.9
57.7
76.4
127.5
163.6
138.2
125.8
100.2
....
....
78.0
78.9
85.4
118.2
102.3
125.0
152.5
....
25.1
31.1
74.5
50.1
31.0
30.6
26.2
....
131.3
127.8
199.9
334.8
413.3
344.2
382.7
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
163.2
185.3
273.6
380.7
433.9
402.3
320.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
216.4
222.7
274.4
361.6
253.7
287.8
440.1
....
....
....
....
....
....
....
....
....
3.9
1.6
3.1
.7
1.5
.4
1.6
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
39.7
34.7
38.2
44.6
39.2
57.9
98.4
....
63.9
52.4
61.3
87.0
108.6
141.3
251.6
....
....
....
....
....
....
....
....
....
109.0
134.0
171.8
229.3
104.5
88.2
88.4
....
110.7
121.2
161.6
139.1
136.9
187.3
183.1
....
....
....
....
....
....
....
....
....
26.3
28.7
30.7
30.5
26.9
30.0
34.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
4.1
4.1
5.0
3.6
23.1
54.7
64.1
....
69.4
83.8
119.5
93.4
72.8
78.1
64.3
....
....
....
....
....
....
....
....
....
10.9
4.6
6.4
11.6
14.2
24.5
20.8
....
....
....
....
....
....
....
....
....
....
....

48.3
139.9
91.6
85.5
5.3
54.4
....
....
....
....
....

62.1
158.2
96.1
79.9
10.3
78.2
....
....
....
....
....

136.7
224.3
87.6
86.7
4.0
137.6
....
....
....
....
....

151.0
235.6
84.6
145.8
5.3
89.8
....
....
....
....
....

157.7
210.1
52.4
127.1
12.3
83.1
....
....
....
....
....

93.6
209.8
116.2
132.4
32.4
77.4
....
....
....
....
....

147.4
287.7
140.3
206.4
39.2
81.3
....
....
....
....
....

_______________________________________________________________________________________________________________________________
651
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Nepal

558
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
54.4
....
54.4
....
....
....
....
86.3
56.6
56.6
56.6
....
....
....
....
....
....
....
29.7
....
29.7
....
....
....

....
....
....
....
....
78.2
....
78.2
....
....
....
....
85.8
55.7
55.7
55.7
....
....
....
....
....
....
....
30.0
....
30.0
....
....
....

....
....
....
....
....
137.6
....
137.6
....
....
....
....
83.7
54.0
54.0
54.0
....
....
....
....
....
....
....
29.7
....
29.7
....
....
....

....
....
....
....
....
89.8
....
89.8
....
....
....
....
79.3
44.1
44.1
44.1
....
....
....
....
....
....
....
35.2
....
35.2
....
....
....

....
....
....
....
....
83.1
....
83.1
....
....
....
....
40.0
8.8
8.8
8.8
....
....
....
....
....
....
....
31.3
....
31.3
....
....
....

....
....
....
....
....
77.4
....
77.4
....
....
....
....
83.8
49.8
49.8
49.8
....
....
....
....
....
....
....
34.1
....
34.1
....
....
....

....
....
....
....
....
81.3
....
81.3
....
....
....
....
101.2
59.0
59.0
59.0
....
....
....
....
....
....
....
42.2
....
42.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....

1,532.8
1,593.3
167.1
1,426.2
1,126.3
299.8
60.5
....
60.5
60.5
....

1,787.4
1,856.2
160.5
1,695.7
1,373.3
322.4
68.9
....
68.9
68.9
....

2,087.9
2,129.4
182.3
1,947.2
1,647.1
300.0
41.5
.1
41.4
....
....

3,243.2
3,294.4
384.5
2,909.8
2,581.3
328.6
51.2
.1
51.1
....
....

3,425.6
3,535.4
285.7
3,249.7
2,858.0
391.7
109.8
.4
109.4
....
....

4,092.1
4,145.4
350.7
3,794.8
3,336.4
458.4
53.4
....
53.4
....
....

4,726.0
4,778.1
291.4
4,486.7
4,010.5
476.2
52.1
....
52.1
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

40.3
....
....
40.5
40.5
....
40.5
....
.2
....
....
....
.2

46.3
....
....
46.4
46.4
....
46.4
....
.1
....
....
....
.1

75.4
....
....
75.5
75.5
....
75.5
....
.1
....
....
....
.1

113.6
....
....
115.0
114.9
....
114.9
....
1.4
....
....
....
1.4

132.4
....
....
132.9
132.4
....
132.4
.6
.6
....
....
....
.6

185.4
....
....
186.4
186.4
....
186.4
....
1.0
.3
....
.3
.6

189.5
....
....
190.3
190.3
....
190.3
....
.7
....
....
....
.7

FINANCIAL ACCOUNT........................................ 30999S N AA

....

332.4

304.9

100.1

739.5

78.2

128.8

761.1

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

2.5
....
....
....
....
....
....
....
....
....
....
....

6.6
....
....
....
....
....
....
....
....
....
....
....

5.7
....
....
....
....
....
....
....
....
....
....
....

1.0
....
....
....
....
....
....
....
....
....
....
....

38.2
....
....
....
....
....
....
....
....
....
....
....

87.8
....
....
....
....
....
....
....
....
....
....
....

94.0
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
652
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Nepal

558
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

2.5
2.5
2.5
2.5
....
....
....
....
....
....
....

6.6
6.6
6.6
6.6
....
....
....
....
....
....
....

5.7
5.3
5.3
5.3
....
....
....
.5
.5
....
....

1.0
5.3
5.3
5.3
....
....
....
6.3
6.3
....
....

38.2
....
....
....
....
....
....
38.2
38.2
....
....

87.8
....
....
....
....
....
....
87.8
87.8
....
....

94.0
94.0
94.0
94.0
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

164.0
242.4
....
242.4
....
....
....
242.4
....
78.5
....
....
78.5
2.3
22.3
28.8
29.6
....

30.7
250.9
....
250.9
....
15.3
....
235.5
....
281.6
....
....
281.6
21.1
39.1
10.9
210.5
....

104.7
161.0
....
161.0
....
61.8
....
99.2
....
56.3
....
....
56.3
33.2
56.0
24.3
57.2
....

90.7
386.7
....
386.7
....
262.5
....
124.2
....
477.3
....
....
477.3
.1
233.5
48.4
195.6
....

118.2
306.2
....
306.2
....
21.6
....
284.6
....
188.0
....
93.7
94.2
79.5
22.5
33.2
25.5
....

240.5
355.6
....
355.6
....
2.0
....
357.6
....
596.1
....
....
596.1
44.1
43.7
29.2
537.5
....

140.0
300.1
....
300.1
....
31.8
....
268.3
....
440.1
....
....
440.1
9.1
62.0
27.6
359.6
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

170.9
....
.1
....
171.0

329.0
....
.2
....
329.2

1.1
....
.4
....
1.5

831.2
....
.5
....
831.7

1.8
....
91.1
....
92.9

199.6
....
4.4
....
203.9

995.1
....
4.6
....
999.7

NET ERRORS AND OMISSIONS.........................

....

139.0

108.5

19.1

107.5

72.6

186.1

283.0

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
653
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands

138
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
46,618
63,069
52,526
38,036
41,575
60,194

81,323

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

334,389
289,307

379,717
333,842

456,218
398,242

511,555
454,179

406,983
358,915

469,164
412,838

544,175
480,578

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

82,201
72,857

86,079
75,102

96,003
84,352

109,248
92,563

74,062

94,274
86,474

55,867

96,826
86,070

67,082

107,943
94,443

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

58,362

92,429
94,764

100,198
92,497

116,983
97,694

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

45,082

2006

45,875

2007

57,977

2008

57,377

2009

48,068

56,326

63,597

54,425

56,852

69,628

98,776
94,839

130,556
113,974

158,612
159,426

133,589
152,523

55,129

53,532

....
....

11,177
22,921

17,729
28,095

15,669
31,957

17,524
34,616

15,595
27,552

12,329
26,919

14,234
29,297

B. Capital Account........................................... 20999F B AA

....

1,764

2,617

2,067

4,474

284

1,317

159

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

2,127
3,891

3,152
5,769

3,640
5,707

2,279
6,753

766
1,050

942
2,260

876
1,035

C. Financial Account......................................... 30999F N AA


Direct investment: assets............................................... 3A9999 A AA
Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

73,434

68,815

74,784

77,097

96,386

44,854

60,452

50,458

33,562

41,291

58,876

81,164

....

39,415

66,341

35,586

31,486

49,733

26,844

70,099

....
....
....

126,958
105,320
21,638

77,175
54,212
22,963

56,094
39,012
17,082

68,884
25,823
43,061

28,286
41,591
13,304

55,663
60,221
4,558

35,534
44,835
9,301

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

44,361
4,443
39,918

20,145
19,414
732

127,115
140,780
13,665

11,331
8,258
19,589

34,271
28,097
6,174

10,271
1,302
11,574

13,886
15,699
1,813

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

83,831
11,531
72,301

46,141
4,886
41,255

40,197
28,340
11,857

7,520
23,609
31,129

72,349
25,842
46,507

12,064
789
11,275

12,223
15,518
3,295

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

160,315
82,931
77,384

70,800 81,746
15,521 100,035
55,279
18,288

67,702
12,556
80,257

36,705
20,659
16,046

44,127
11,709
32,417

39,736
3,860
35,876

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
4,181
11,072
3,245
22,332 27,096
14,814
9,185
. . . . 150,955 132,229 172,022 186,245 206,464 437,499 689,721
. . . . 155,136 143,301 168,778 208,578 179,368 452,314 698,906

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

65,310
....
65,310

214,025
....
214,025

222,248
....
222,248

98,858
....
98,858

40,101
....
40,101

160,562
....
160,562

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

36,189
....
36,189

191,125
....
191,125

234,340 126,277 146,028


....
....
....
234,340 126,277 146,028

37,814
....
37,814

93,784
....
93,784

D. Net Errors and Omissions............................. 40999S N AA

....

7,229

E. Reserves and Related Items.......................... 4Z999S N AA

....

1,790

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

Conversion rates: euros per U.S. dollar........... RFZ F B

....

5,439

5,890

99,455
....
99,455

14,873

2,076

8,442

32,032

11,065

6,670

16,282

1,229

15,401

31,539

7,802

780

1,409

847

6,959

493

3,263

1,790
....
....

780
....
....

1,409
....
....

847
....
....

6,959
....
....

493
....
....

3,263
....
....

.8041

.7971

.7306

.6827

.7198

.7550

.7194

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
654
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands

138
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
46,618
63,069
52,526
38,036
41,575
60,194
GOODS AND SERVICES..................................... 1Z9999 B XN
....
54,425
56,852
69,628
74,062
55,867
67,082
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

416,590
362,165
45,082
334,389
334,264
....
125
289,307
289,124
183
9,343
82,201
72,857
2,115
449
....
....
21,441

465,796
408,944
45,875
379,717
379,366
....
351
333,842
333,454
388
10,977
86,079
75,102
1,269
381
....
....
24,886

552,221
482,593
57,977
456,218
455,737
....
481
398,242
397,727
514
11,651
96,003
84,352
734
176
....
....
27,504

620,803
546,741
57,377
511,555
510,507
....
1,048
454,179
453,055
1,123
16,685
109,248
92,563
3,675
110
....
....
31,003

501,257
445,389
48,068
406,983
405,845
....
1,137
358,915
357,754
1,160
7,799
94,274
86,474
960
1,025
....
....
24,636

565,990
498,908
56,326
469,164
467,770
....
1,395
412,838
411,318
1,520
10,756
96,826
86,070
1,014
950
....
....
25,589

81,323
77,097
652,118
575,021
63,597
544,175
542,335
....
1,840
480,578
478,649
1,929
13,500
107,943
94,443
857
564
....
....
29,924

14,952

18,787

20,821

22,617

17,951

18,845

21,552

10,450
3,464
6,987
16,140
3,921
12,219
48,194
2,751
452
910
3,866
7,484
29,924
902
1,904
42,216
1,417
802
1,011
3,692
6,890
26,561
949
894

11,382
3,627
7,755
17,087
4,156
12,931
48,543
2,272
512
1,047
3,481
8,761
29,642
717
2,110
39,609
1,189
889
1,135
2,879
8,219
23,762
730
805

13,339
4,328
9,011
19,109
4,682
14,427
55,894
2,539
613
1,368
4,322
10,619
33,246
671
2,515
44,597
1,368
1,037
1,627
3,662
9,304
26,125
706
767

13,343
4,389
8,955
21,828
5,205
16,623
61,227
3,233
703
1,499
4,873
11,197
36,110
752
2,859
48,228
1,732
1,198
1,731
3,532
9,688
28,875
726
746

12,401
3,862
8,539
20,758
4,995
15,764
56,278
2,954
564
1,303
5,474
10,548
32,176
796
2,462
46,740
2,174
995
1,390
4,073
9,574
26,906
799
828

12,861
4,109
8,752
19,489
4,760
14,730
57,362
2,789
626
1,333
5,491
11,255
32,715
702
2,450
46,786
2,009
1,066
1,382
3,707
9,437
27,747
702
736

14,352
4,530
9,822
20,603
4,910
15,692
62,810
2,713
715
1,491
5,200
12,232
37,039
790
2,631
52,853
2,177
1,191
1,481
3,751
10,019
32,714
778
741

....
....
....
....
....
....
....
....
....
....
....

3,937
98,776
94,839
1,203
2,670
97,573
50,359
41,868
46,375
4,507
8,491

16,582
130,556
113,974
1,186
2,972
129,370
68,807
57,928
57,171
757
10,879

814
158,612
159,426
1,319
6,626
157,293
78,333
67,307
51,083
16,224
11,026

18,933
133,589
152,523
1,385
8,817
132,204
47,209
34,673
52,796
18,123
12,536

2,335
92,429
94,764
1,461
8,159
90,968
37,473
29,154
31,770
2,616
8,320

7,701
100,198
92,497
1,457
7,185
98,740
52,278
44,682
46,983
2,302
7,596

19,289
116,983
97,694
1,509
8,610
115,474
62,718
53,964
48,237
5,727
8,753

6,078
12,760
2,603

481
8,312
6,159

6,147
14,198
4,540

366
14,519
3,902

6,583
15,608
5,313

367
16,533
3,921

7,180
17,648
6,174

389
18,180
4,049

5,467
14,565
4,604

322
13,984
3,645

5,829
14,833
4,927

283
14,702
3,861

6,618
17,204
6,101

281
16,692
4,579

_______________________________________________________________________________________________________________________________
655
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands

138
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

30,846
8,589
....
....
22,257
16,368
....
16,368
....
....
....
....
92,170
31,665
24,850
25,350
499
6,815
38,156
13,856
....
....
24,300
22,348
....
22,348
....
....
....

35,699
9,783
....
....
25,916
24,864
....
24,864
....
....
....
....
111,002
35,019
26,848
14,032
12,816
8,171
45,074
16,951
....
....
28,123
30,909
....
30,909
....
....
....

40,234
11,810
....
....
28,424
38,726
....
38,726
....
....
....
....
152,800
49,435
39,796
33,871
5,925
9,639
56,088
22,127
....
....
33,961
47,278
....
47,278
....
....
....

43,575
12,685
....
....
30,890
41,420
....
41,420
....
....
....
....
143,706
34,687
23,168
18,160
5,008
11,519
58,985
22,862
....
....
36,123
50,033
....
50,033
....
....
....

38,498
8,303
....
....
30,195
14,997
....
14,997
....
....
....
....
86,605
20,724
13,500
14,000
501
7,225
45,966
15,198
....
....
30,768
19,915
....
19,915
....
....
....

36,717
8,927
....
....
27,790
9,746
....
9,746
....
....
....
....
85,311
25,681
20,322
15,160
5,162
5,359
47,015
15,364
....
....
31,650
12,615
....
12,615
....
....
....

40,695
10,694
....
....
30,001
12,061
....
12,061
....
....
....
....
89,084
26,722
21,034
12,112
8,922
5,688
49,314
14,953
....
....
34,361
13,048
....
13,048
....
....
....

....
....
....
....
....
....
....
....
....
....
....

11,744
11,177
5,191
5,986
....
5,986
22,921
13,630
9,290
849
8,441

10,366
17,729
6,102
11,628
310
11,318
28,095
15,165
12,930
783
12,147

16,289
15,669
6,524
9,145
312
8,832
31,957
14,750
17,207
2,089
15,119

17,093
17,524
6,817
10,707
265
10,442
34,616
17,626
16,991
2,303
14,687

11,957
15,595
9,472
6,123
251
5,873
27,552
15,944
11,608
2,077
9,530

14,590
12,329
5,542
6,787
239
6,549
26,919
14,476
12,443
2,074
10,369

15,064
14,234
5,817
8,417
250
8,166
29,297
15,527
13,770
2,131
11,639

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

1,764
78
37
2,049
308
....
....
1,741
3,855
951
....
....
2,904

2,617
685
31
2,467
409
....
....
2,058
5,738
1,650
....
....
4,087

2,067
137
72
3,502
17
....
....
3,485
5,635
912
....
....
4,723

4,474
155
140
2,125
....
....
....
2,125
6,613
2,322
....
....
4,291

284
104
64
662
....
....
....
662
985
238
....
....
747

1,317
73
128
870
....
....
....
870
2,132
1,495
....
....
636

159
242
85
635
....
....
....
635
950
265
....
....
685

FINANCIAL ACCOUNT........................................ 30999S N AA

....

37,625

67,121

34,177

32,333

56,692

27,338

73,362

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

82,597
126,958
105,320
109,827
109,800
27
....
4,507
21,638
21,952
314
....

57,029
77,175
54,212
53,458
53,399
58
....
754
22,963
19,332
3,631
....

71,021
56,094
39,012
22,789
22,789
....
....
16,223
17,082
19,427
2,345
....

57,553
68,884
25,823
43,946
43,948
1
....
18,123
43,061
39,981
3,080
....

5,985
28,286
41,591
44,207
44,207
....
....
2,616
13,304
7,692
5,612
....

65,934
55,663
60,221
62,523
62,523
....
....
2,302
4,558
4,068
491
....

21,649
35,534
44,835
39,108
39,108
....
....
5,727
9,301
10,238
937
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
656
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands

138
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

of which: Other financial corporations........................ 3BB000 L FA

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

44,361
4,443
4,943
4,944
1
....
499
39,918
42,597
2,679
....

20,145
19,414
6,594
6,594
....
....
12,820
732
8,671
9,402
....

127,115
140,780
134,856
134,873
16
....
5,923
13,665
18,385
4,720
....

11,331
8,258
13,269
13,258
12
....
5,011
19,589
21,333
1,744
....

34,271
28,097
28,597
28,597
....
....
501
6,174
5,749
425
....

10,271
1,302
3,859
3,859
....
....
5,162
11,574
13,764
2,190
....

13,886
15,699
6,777
6,777
....
....
8,922
1,813
1,804
8
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

76,484
83,831
11,531
39
6,322
....
5,248
....
72,301
1,153
17,208
....
53,940
....
160,315
82,931
....
....
....
....
....
77,384
....
45,661
14,342
17,381
....

24,659 121,943
46,141
40,197
4,886
28,340
....
4
17,062
8,889
....
....
21,948
19,447
....
....
41,255
11,857
328
5,894
4,852 13,168
....
....
36,075
19,131
....
....
70,800 81,746
15,521 100,035
....
....
....
....
....
....
....
....
....
....
55,279
18,288
....
....
33,649
32,346
6,017 18,873
27,648
4,815
....
....

75,222
7,520
23,609
964
2,108
....
24,752
....
31,129
5,540
27,162
....
9,506
....
67,702
12,556
....
....
....
....
....
80,257
....
5,568
102,787
28,098
....

35,644
72,349
25,842
320
2,057
....
28,220
....
46,507
1,614
24,585
28,629
8,321
....
36,705
20,659
....
....
....
....
....
16,046
....
45,313
21,353
7,914
....

56,191
12,064
789
286
6,520
....
7,024
....
11,275
1,954
2,480
3,586
12,124
....
44,127
11,709
....
....
....
....
....
32,417
....
50,567
16,653
1,497
....

27,513
12,223
15,518
336
2,112
....
17,966
....
3,295
7,198
11,665
3,755
4,927
....
39,736
3,860
....
....
....
....
....
35,876
....
49,464
12,328
1,261
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
4,181
11,072
3,245
22,332 27,096
14,814
9,185
. . . . 150,955 132,229 172,022 186,245 206,464 437,499 689,721
. . . . 155,136 143,301 168,778 208,578 179,368 452,314 698,906

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

29,122
65,310
....
65,310
196
45,783
321
20,044
....
36,189
....
....
36,189
3,182
39,026
259
85
....

22,900
214,025
....
214,025
693
197,202
1,249
17,379
....
191,125
....
....
191,125
8,788
161,198
426
38,289
....

12,092
222,248
....
222,248
1,008
193,366
98
29,791
....
234,340
....
....
234,340
46,126
182,576
771
4,867
....

26,822
99,455
....
99,455
2,105
120,363
1,095
17,707
....
126,277
....
....
126,277
6,344
154,407
1,750
32,724
....

47,170
98,858
....
98,858
23,496
116,302
9,066
15,118
....
146,028
....
6,727
152,755
31,702
38,911
21,854
103,997
....

2,287
40,101
....
40,101
31,830
6,028
1,708
534
....
37,814
....
....
37,814
3,402
41,319
2,959
3,948
....

66,778
160,562
....
160,562
155,340
24,382
830
28,774
....
93,784
....
....
93,784
1,788
38,811
2,255
55,440
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

1,790
1,190
....
1,295
695

780
1,000
31
550
2,299

1,409
481
153
180
901

847
227
66
549
460

6,959
....
6,600
470
111

493
....
24
475
43

3,263
....
209
1,802
1,670

NET ERRORS AND OMISSIONS.........................

....

7,229

6,670

16,282

1,229

15,401

31,539

7,802

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
657
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands

138
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
. . . . 2,520.32 3,158.62 3,822.89 3,376.06 3,563.77 3,608.96 3,806.49
Direct investment............................................. 8A9999 A AA
....
668.51
833.94
982.93
920.94 1,002.59
991.91
999.43
Equity and investment fund shares................. 8AA000 A AA
....
406.80
520.56
612.34
534.62
593.48
633.37
667.38
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

....
406.56
520.39
612.26
534.56
593.47
633.37
667.38
....
.24
.18
.08
.07
.01
.01
....
....
....
....
....
....
....
....
....
....
261.71
313.37
370.59
386.32
409.11
358.54
332.04
....
250.98
298.75
355.66
369.14
377.02
328.72
305.70
....
10.72
14.63
14.93
17.18
32.09
29.82
26.35
....
....
....
....
....
....
....
....
. . . . 1,098.14 1,269.85 1,477.63 1,146.00 1,406.05 1,389.43 1,331.35
....
474.96
554.98
644.10
408.68
561.06
614.54
583.19
....
1.55
1.59
1.76
1.89
2.08
1.91
1.16
17.78
7.45
1.77
4.03
4.19
2.00
....
17.07
....
....
....
....
....
....
....
....
....
456.34
571.18
649.80
408.57
563.01
608.44
580.03
....
....
....
....
....
....
....
....
....
623.18
714.87
833.53
737.32
844.99
774.89
748.15
....
10.90
11.89
18.80
24.17
26.97
27.85
33.05
....
171.46
188.83
186.16
149.93
175.57
158.09
137.82
....
....
....
....
....
28.97
24.03
18.52
....
440.82
514.15
628.57
563.21
613.48
564.92
558.76
....
....
....
....
....
....
....
....
....
70.36
77.63
119.64
248.67
156.84
205.55
332.55
....
662.85
953.30 1,215.70 1,031.95
958.68
975.83 1,091.90
....
....
....
....
....
....
....
....
....
662.85
953.30 1,215.70 1,031.95
958.68
975.83 1,091.90
....
3.95
5.21
4.74
4.30
27.26
58.25
202.08
....
490.91
745.79
995.32
820.61
721.89
716.95
678.51
....
12.73
6.57
11.52
11.65
17.07
17.30
17.41
....
155.25
195.72
204.12
195.39
192.47
183.32
193.91
....
....
....
....
....
....
....
....
....
20.46
23.90
26.98
28.51
39.61
46.24
51.27
....
11.46
13.10
16.71
17.03
21.74
27.77
31.00
....
.72
.78
.98
1.02
7.66
7.50
7.28
....
1.19
.69
.54
1.09
1.60
2.07
3.83
....
7.09
9.33
8.75
9.37
8.61
8.90
9.16
. . . . 2,536.96 3,136.52 3,874.42 3,342.35 3,433.71 3,438.38 3,537.35
....
504.02
586.22
807.47
676.65
694.20
625.96
609.14
....
243.54
295.33
483.77
359.19
374.16
343.54
341.64
....
243.22
295.22
483.60
359.07
374.16
343.54
341.64
....
.32
.11
.17
.13
....
....
....
....
....
....
....
....
....
....
....
....
260.48
290.89
323.70
317.46
320.04
282.42
267.50
....
218.98
235.27
298.03
303.78
302.19
264.53
253.69
....
41.50
55.62
25.67
13.68
17.85
17.89
13.81
....
....
....
....
....
....
....
....
. . . . 1,219.82 1,470.56 1,572.82 1,268.50 1,491.77 1,544.57 1,542.68
....
536.65
658.50
667.41
333.82
445.22
458.40
424.29
....
....
....
....
....
....
....
....
....
35.37
43.32
1.40
.36
.28
.86
.61
....
....
....
....
....
....
....
....
....
501.29
615.18
666.01
333.46
444.94
457.55
423.68
....
....
....
....
....
....
....
....
....
683.17
812.06
905.41
934.68 1,046.55 1,086.16 1,118.39
....
....
....
....
....
....
....
....
....
340.63
409.11
478.43
450.68
550.29
593.38
626.37
....
207.60
226.42
227.86
333.10
327.31
295.36
284.08
....
134.93
176.53
199.11
150.90
168.95
197.42
207.94
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
658
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands

138
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Billions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: euros per U.S. dollar (end


of period)...................................................... AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

86.95
726.18
....
.76
725.42
1.61
602.34
3.69
117.78
....

....

16.64

22.10

51.53

33.71

130.06

170.58

269.15

....

.8477

.7593

.6793

.7185

.6942

.7484

.7729

84.24
122.66
241.75
182.61
215.52
292.77
995.50 1,371.48 1,155.45 1,065.13 1,052.33 1,092.74
....
....
....
....
....
....
.80
.84
.82
7.58
7.45
7.43
994.70 1,370.64 1,154.64 1,057.55 1,044.88 1,085.32
7.51
39.98
34.92
3.38
6.53
8.04
821.90 1,082.22
849.02
835.58
834.59
851.48
4.39
5.65
5.25
26.54
21.94
19.17
175.91
242.80
265.44
192.05
181.81
206.62
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
659
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands Antilles

353
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
105.8
202.0
563.1
845.8
793.5
....

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

Balance on goods......................................................... 1A9999 B XN

2005

553.9
1,940.7

2006

630.2
2,204.3

2007

605.3
2,535.0

2008

1,011.4
3,069.0

2009

745.8
2,599.0

....
....
....

....
....
....

1,386.8

1,574.1

1,929.8

2,057.5

1,853.1

....
....
....

1,911.5
725.8

2,043.8
751.5

2,148.5
789.9

2,109.9
859.6

2,089.7
927.7

....
....
....

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

106.2
121.3

216.1

137.0
138.1

282.9

170.2
167.3

568.3

139.6
181.0

848.7

109.6
206.1

787.7

....
....
....

....
....
....

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

415.1
304.7

386.9
305.9

332.0
326.8

400.5
397.7

409.0
414.8

....
....

....
....

B. Capital Account........................................... 20999F B AA

....

95.6

100.3

122.3

136.8

112.1

....

....

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

96.1
.5

10.2

102.6
2.3

101.7

126.9
4.6

440.7

137.4
.6

709.1

115.5
3.4

681.5

....
....
....

....
....
....

C. Financial Account......................................... 30999F N AA

....

26.8

81.7

492.3

832.0

430.8

....

....

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

65.9
71.4
5.5

56.0
43.9
12.2

4.2
8.8
13.1

15.1
16.0
.9

7.3
8.0
.7

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

42.4
121.7
79.3

22.5
7.9
14.5

233.3
202.8
30.5

266.0
225.1
40.8

116.9
49.4
67.5

....
....
....

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

25.8
2.3
23.5

67.3
12.5
79.8

67.9
71.6
3.7

47.4
5.9
53.4

39.4
5.2
44.6

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

1.6
....
1.6

8.9
....
8.9

11.2
....
11.2

23.1
....
23.1

66.2
....
66.2

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

.4
.4
....

1.6
1.6
....

4.2
4.2
....

.2
.2
....

.2
.2
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

40.5
....
40.5

135.2
....
135.2

377.1
....
377.1

680.7
....
680.7

470.7
....
470.7

....
....
....

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

33.7
....
33.7

16.5

31.8
....
31.8

20.0

39.0
....
39.0

29.0
....
29.0

44.2
....
44.2

250.7

....
....
....
....

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA

....

31.7

35.6

77.6

57.0

74.8

....

....

E. Reserves and Related Items.......................... 4Z999S N AA

....

48.3

15.6

129.2

179.9

175.9

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

74.0
....
25.7

47.1
....
31.5

155.0
....
25.8

207.6
....
27.6

301.2
....
477.0

....
....
....

....
....
....

Conversion rates: Netherlands Antillean


guilders per U.S. dollar................................. RFZ F B

....

1.7900

1.7900

1.7900

1.7900

1.7900

....

....

Balance on goods and services...................................... 1Z9999 B XN

201.1

281.8

571.2

51.5

807.3

122.9

691.1

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
660
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands Antilles

353
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
105.8
202.0
563.1
845.8
340.0
....
GOODS AND SERVICES..................................... 1Z9999 B XN
....
201.1
281.8
571.2
807.3
691.1
....
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
2,465.4
2,673.9
2,753.7
3,121.3
2,835.5
....
2,666.5
2,955.8
3,324.9
3,928.6
3,526.7
. . . . 1,386.8 1,574.1 1,929.8 2,057.5 1,853.1
....
553.9
630.2
605.3 1,011.4
745.8
....
553.9
630.2
605.3
1,011.4
745.8
....
....
....
....
....
....
....
....
....
....
....
....
....
1,940.7 2,204.3 2,535.0 3,069.0 2,599.0
....
1,940.7
2,204.3
2,535.0
3,069.0
2,599.0
....
....
....
....
....
....
....
1,185.7 1,292.2 1,358.6 1,250.3 1,162.0
....
1,911.5
2,043.8
2,148.5
2,109.9
2,089.7
....
725.8
751.5
789.9
859.6
927.7
7.2
2.4
13.1
6.9
2.4
....
....
8.2
7.8
7.5
12.3
3.3
....
43.6
55.0
63.1
61.9
56.6
....
....
1.0
.1
.4
1.3
....
128.5
133.8
146.2
164.8
175.7
7.1
4.8
5.9
9.7
20.3
....
1.0
1.0
1.8
3.1
3.5
....
....
120.4
128.0
138.5
152.0
151.9
....
86.0
83.5
93.0
119.9
159.0
30.8
22.1
20.2
26.4
71.5
....
....
50.0
56.8
65.3
79.0
66.8
5.2
4.6
7.6
14.6
20.7
....
....
989.5 1,019.3 1,098.3 1,162.7 1,083.5
....
....
....
....
....
....
....
989.5
1,019.3
1,098.3
1,162.7
1,083.5
....
263.3
281.6
295.4
299.0
296.5
....
....
....
....
....
....
....
263.3
281.6
295.4
299.0
296.5
....
757.1
838.0
853.9
727.3
776.2
....
22.2
35.5
51.0
54.9
43.3
....
.5
.5
.6
.6
.7
....
5.7
5.5
2.0
1.3
3.0
....
.3
.2
3.0
2.4
6.3
....
12.6
12.6
17.2
27.9
30.1
....
659.3
727.8
729.4
612.2
660.8
....
.2
.7
.2
.5
....
....
56.3
55.1
50.6
27.6
32.0
....
384.7
393.3
408.8
452.6
474.2
....
33.3
35.3
51.8
86.6
60.1
....
10.1
11.6
13.3
16.0
13.7
....
5.3
5.0
7.5
4.5
6.8
....
5.9
7.0
12.6
18.5
22.1
....
33.9
35.6
34.8
52.4
60.9
....
286.8
288.6
279.9
267.0
298.6
....
.7
1.0
.4
1.6
7.5
....
8.6
9.3
8.5
6.1
4.5
....
....
....
....
....
....
....
....
....
....
....

15.1
106.2
121.3
9.5
42.1
96.8
15.9
14.8
14.8
....
1.1

1.1
137.0
138.1
17.5
38.0
119.6
31.1
30.5
30.5
....
.6

2.9
170.2
167.3
21.6
43.7
148.6
19.3
19.1
19.1
....
.2

41.4
139.6
181.0
27.5
47.4
112.1
21.5
19.7
18.8
.9
1.8

96.5
109.6
206.1
30.9
43.7
78.7
24.8
21.8
21.8
....
3.1

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
661
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands Antilles

353
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

45.3
6.9
....
....
38.4
35.6
....
35.6
....
....
....
....
79.2
29.5
26.9
26.0
.9
2.7
22.0
18.8
....
....
3.2
27.7
....
27.7
....
....
....

44.4
7.6
....
....
36.7
44.1
....
44.1
....
....
....
....
100.2
48.9
47.0
46.9
.1
1.9
21.2
19.2
....
....
2.1
30.0
....
30.0
....
....
....

71.9
9.9
....
....
61.9
57.5
....
57.5
....
....
....
....
123.6
61.6
59.2
61.8
2.6
2.3
31.6
22.5
....
....
9.1
30.5
....
30.5
....
....
....

47.5
7.4
....
....
40.0
43.1
....
43.1
....
....
....
....
133.6
61.2
53.5
53.2
.4
7.6
43.4
35.6
....
....
7.9
29.0
....
29.0
....
....
....

28.3
5.5
....
....
22.8
25.5
....
25.5
....
....
....
....
162.4
79.1
72.6
71.1
1.5
6.4
61.2
51.8
....
....
9.4
22.2
....
22.2
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

110.3
415.1
177.2
237.9
1.0
236.9
304.7
18.9
285.8
16.5
269.3

80.9
386.9
143.5
243.4
.4
242.9
305.9
12.4
293.5
21.0
272.5

5.3
332.0
83.2
248.8
.5
248.3
326.8
15.0
311.8
23.8
288.1

2.8
400.5
118.1
282.4
.7
281.8
397.7
15.3
382.4
46.0
336.4

447.7
862.5
574.9
287.6
2.8
284.8
414.8
13.9
400.9
58.8
342.1

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

95.6
....
....
96.1
96.1
....
96.1
....
.5
....
....
....
.5

100.3
....
....
102.6
101.3
....
101.3
1.3
2.3
....
....
....
2.3

122.3
.1
....
126.9
122.3
....
122.3
4.5
4.6
....
....
....
4.6

136.8
....
....
137.4
127.1
....
127.1
10.3
.6
....
....
....
.6

112.1
....
....
115.5
111.3
....
111.3
4.2
3.4
....
....
....
3.4

....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

21.5

66.1

363.1

652.0

153.1

....

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

23.5
65.9
71.4
71.4
71.4
....
....
....
5.5
6.1
.5
....

78.5
56.0
43.9
43.9
43.9
....
....
....
12.2
12.7
.6
....

237.5
4.2
8.8
8.8
8.8
....
....
....
13.1
12.1
1.0
....

250.9
15.1
16.0
15.1
15.1
....
....
.9
.9
.9
....
....

109.6
7.3
8.0
8.0
8.0
....
....
....
.7
.7
....
....

....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
662
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Netherlands Antilles

353
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

42.4
121.7
120.8
120.8
....
....
.9
79.3
79.3
....
....

22.5
7.9
8.0
8.0
....
....
....
14.5
14.5
....
....

233.3
202.8
205.4
205.4
....
....
2.6
30.5
30.5
....
....

266.0
225.1
224.8
224.8
....
....
.4
40.8
40.8
....
....

116.9
49.4
47.9
47.9
....
....
1.5
67.5
67.5
....
....

....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

24.3
25.8
2.3
....
.5
18.3
15.5
....
23.5
.1
.4
4.4
18.7
....
1.6
....
....
....
....
....
....
1.6
....
....
.1
1.6
....

58.3
67.3
12.5
....
.4
3.1
9.8
....
79.8
....
.7
.1
80.4
....
8.9
....
....
....
....
....
....
8.9
....
....
.9
8.0
....

79.2
67.9
71.6
....
.9
5.1
65.6
....
3.7
....
19.8
.8
16.9
....
11.2
....
....
....
....
....
....
11.2
....
12.4
22.5
21.3
....

70.5
47.4
5.9
....
15.5
13.8
4.2
....
53.4
....
11.6
1.7
40.1
....
23.1
....
....
....
....
....
....
23.1
....
.2
4.6
18.7
....

105.6
39.4
5.2
....
4.8
.1
.5
....
44.6
....
5.5
45.7
6.6
....
66.2
....
....
....
....
....
....
66.2
....
16.9
12.5
36.7
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

.4
.4
....

1.6
1.6
....

4.2
4.2
....

.2
.2
....

.2
.2
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

99.9
40.5
....
40.5
....
19.2
.2
21.1
....
59.4
....
....
59.4
....
5.6
9.1
62.9
....

135.0
135.2
....
135.2
....
6.5
58.1
186.8
....
.3
....
....
.3
....
.3
4.8
4.8
....

363.9
377.1
....
377.1
.3
16.8
30.9
390.9
....
13.2
....
....
13.2
....
24.8
3.8
7.8
....

679.4
680.7
....
680.7
.4
26.0
18.8
674.0
....
1.3
....
....
1.3
....
34.2
4.1
39.6
....

450.0
470.7
....
470.7
....
62.7
33.6
441.6
....
20.7
....
....
20.7
....
25.0
4.3
50.0
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

74.0
....
....
....
74.0

47.1
....
....
....
47.1

155.0
....
....
....
155.0

207.6
....
....
....
207.6

301.2
....
....
....
301.2

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

31.7

35.6

77.6

57.0

74.8

....

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
663
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Caledonia

839
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
112.5
413.8
294.0 1,418.7
823.6 1,462.7

....

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

1,089.6
1,638.9

1,343.6
1,932.3

2,122.4
2,590.1

467.7

1,803.2

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

371.5
834.3

444.4
1,120.1

518.3
1,313.6

559.1
1,318.6

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

529.5

841.9

864.0

2,095.7

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

626.3
209.2

647.7
219.6

878.0
308.0

B. Capital Account........................................... 20999F B AA

....

9.0

3.9

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

10.9
2.0

103.5

11.3
7.4

409.9

C. Financial Account......................................... 30999F N AA

....

19.0

479.7

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

30.6
29.3
1.3

30.5
33.4
2.9

6.9
3.3
3.6

63.7
65.5
1.7

58.3
72.9
14.6

76.0
82.3
6.4

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

6.7
13.7
20.5

749.1
79.8
669.3

417.5
1.8
419.3

1,746.4
51.6
1,694.8

1,182.3
76.8
1,105.5

1,439.1
95.5
1,343.6

....
....
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

241.4
....
241.4

34.0
....
34.0

134.5
....
134.5

218.1
....
218.1

169.2
....
169.2

130.3
....
130.3

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

379.3
....
379.3

201.5
....
201.5

224.8
....
224.8

526.1
....
526.1

542.6
....
542.6

75.0
....
75.0

....
....
....

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

194.2
....
194.2

3.4
....
3.4

29.4
....
29.4

88.2
....
88.2

22.5
....
22.5

20.6
....
20.6

....
....
....
....

D. Net Errors and Omissions............................. 40999S N AA


E. Reserves and Related Items.......................... 4Z999S N AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

549.3

588.7

1,232.8
3,035.9

972.3
2,347.1

1,374.8

1,235.7
3,049.7

1,814.0

....
....
....

482.5
1,040.6

521.8
1,300.7

....
....
....

1,012.0

1,264.4

1,263.1

2,562.6

1,932.8

2,592.9

596.2
113.7

600.3
177.8

597.4
198.3

705.3
238.4

625.9
187.5

1,494.5

658.8
177.8

2,111.9

....
....
....

1,038.6
361.7

986.3
315.4

968.1
318.8

....
....

4.0

1.1

5.8

2.3

....

14.2
10.2

19.5
18.5

12.0
6.2

5.1
2.8

1,460.4

....
....
....

728.2 1,397.9

....

290.0

1,417.7

21.9 1,286.5

817.8

84.5

69.7

268.1

131.2

89.6

62.5

....

84.5

69.7

268.1

131.2

89.6

62.5

....

....

....

....

....

....

....

....

....

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Conversion rates: CFP francs per U.S. dollar..... RFZ F B

....

95.9570

95.1242

87.1882

81.4642

85.9001

90.1008

....

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
664
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Caledonia

839
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
112.5
413.8
294.0 1,418.7
823.6 1,462.7
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,012.0 1,264.4 1,263.1 2,562.6 1,932.8 2,592.9
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

1,461.2
2,473.2
549.3
1,089.6
1,089.3
.3
....
1,638.9
1,638.9
....
462.7
371.5
834.3
....
....
.3
2.0
65.5
....

1,788.0
3,052.4
588.7
1,343.6
1,344.5
.9
....
1,932.3
1,932.3
....
675.7
444.4
1,120.1
....
....
.1
.3
77.7
....

138.4

139.9

117.4

119.2

....
211.7
....

....
251.5
....

....
322.9
....

....
392.2
....

....
315.2
....

....
353.3
....

....
148.7
....
148.7
122.2
....
122.2
157.0
5.1
.9
.7
.3
1.3
30.7
.9
117.2
498.4
92.6
20.3
1.2
1.9
16.1
327.1
38.1
1.0

....
122.2
....
122.2
128.8
....
128.8
244.3
25.4
1.5
.1
1.4
5.4
56.8
4.9
148.7
739.5
118.3
21.5
.1
1.5
26.0
529.8
41.4
.9

....
142.1
....
142.1
149.2
....
149.2
237.5
15.7
1.7
4.3
.3
2.4
34.5
15.3
163.3
841.3
322.1
28.5
1.8
2.8
16.2
413.5
55.7
.7

....
151.6
....
151.6
167.6
....
167.6
267.5
28.0
1.4
9.9
.5
2.9
48.9
5.9
170.0
758.7
79.8
32.3
1.6
4.8
37.5
529.5
72.4
.8

....
140.5
....
140.5
169.5
....
169.5
224.6
34.9
1.6
.2
.7
1.1
48.5
1.1
136.4
555.9
14.9
33.8
.5
2.5
18.6
447.0
37.9
.7

....
131.8
....
131.8
178.6
....
178.6
270.8
37.4
4.7
5.0
1.0
3.5
97.1
7.0
115.1
768.8
31.7
32.1
1.6
2.1
16.6
655.2
28.8
.6

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

482.5
596.2
113.7
507.0
17.4
89.3
2.9
2.9
2.9
....
....

422.5
600.3
177.8
533.4
31.8
66.9
6.5
6.5
6.5
....
....

399.0
597.4
198.3
488.0
37.2
109.3
31.0
31.0
31.0
....
....

466.9
705.3
238.4
538.3
49.6
167.0
64.8
64.8
64.8
....
....

438.3
625.9
187.5
503.6
77.7
122.2
33.6
33.6
33.6
....
....

481.0
658.8
177.8
547.2
56.0
111.6
.2
.2
.2
....
....

....
....
....
....
....
....
....
....
....
....
....

65.5

211.7

77.7

251.5

2,640.7
1,791.9
1,454.8
1,757.5
3,903.7
4,354.5
3,387.6
4,350.4
467.7 1,803.2 1,374.8 1,814.0
2,122.4 1,232.8
972.3 1,235.7
2,104.0
1,280.1
1,017.7
1,293.6
18.5
47.3
45.4
57.9
....
....
....
....
2,590.1 3,035.9 2,347.1 3,049.7
2,590.1
3,035.9
2,347.1
3,049.7
....
....
....
....
795.4
759.4
558.0
778.9
518.3
559.1
482.5
521.8
1,313.6
1,318.6
1,040.6
1,300.7
....
....
....
....
....
....
....
....
.3
.1
....
....
.2
.1
....
....
138.4
139.9
117.4
119.2
....
....
....
....

322.9

392.2

315.2

353.3

_______________________________________________________________________________________________________________________________
665
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Caledonia

839
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

61.3
....
....
....
61.3
25.1
....
25.1
....
....
....
....
96.3
41.6
41.6
41.6
....
....
2.9
....
....
....
2.9
51.8
....
51.8
....
....
....

33.2
....
....
....
33.2
27.2
....
27.2
....
....
....
....
146.0
84.9
84.9
84.9
....
....
2.2
....
....
....
2.2
58.9
....
58.9
....
....
....

41.1
....
....
....
41.1
37.2
....
37.2
....
....
....
....
161.1
66.3
66.3
66.3
....
....
8.1
....
....
....
8.1
86.7
....
86.7
....
....
....

59.5
....
....
....
59.5
42.6
....
42.6
....
....
....
....
188.8
92.2
92.2
92.2
....
....
12.3
....
....
....
12.3
84.2
....
84.2
....
....
....

42.0
....
....
....
42.0
46.7
....
46.7
....
....
....
....
109.8
23.4
23.4
23.4
....
....
5.6
....
....
....
5.6
80.8
....
80.8
....
....
....

62.4
....
....
....
62.4
49.0
....
49.0
....
....
....
....
121.8
39.4
39.4
39.4
....
....
21.1
....
....
....
21.1
61.3
....
61.3
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....

417.1
626.3
584.9
41.4
5.3
36.2
209.2
154.5
54.7
10.3
44.4

428.1
647.7
596.1
51.6
3.7
48.0
219.6
149.7
69.9
18.4
51.5

570.0
878.0
676.6
201.4
3.2
198.2
308.0
232.5
75.5
18.4
57.1

677.0
1,038.6
807.5
231.1
5.9
225.2
361.7
257.4
104.2
18.4
85.9

670.9
986.3
762.2
224.1
5.7
218.3
315.4
199.5
115.9
14.7
101.2

649.2
968.1
717.0
251.1
4.7
246.4
318.8
182.2
136.6
10.1
126.5

....
....
....
....
....
....
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

9.0
....
....
10.9
....
....
....
10.9
2.0
....
....
....
2.0

3.9
....
....
11.3
....
....
....
11.3
7.4
....
....
....
7.4

4.0
....
....
14.2
....
....
....
14.2
10.2
....
....
....
10.2

1.1
....
....
19.5
....
....
....
19.5
18.5
....
....
....
18.5

5.8
....
....
12.0
....
....
....
12.0
6.2
....
....
....
6.2

2.3
....
....
5.1
....
....
....
5.1
2.8
....
....
....
2.8

....
....
....
....
....
....
....
....
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

19.0

479.7

728.2 1,397.9

....

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

37.4
30.6
29.3
29.3
29.3
....
....
....
1.3
1.3
....
....

718.5
30.5
33.4
33.4
33.4
....
....
....
2.9
2.9
....
....

410.6 1,682.6 1,124.0 1,363.1


6.9
63.7
58.3
76.0
3.3
65.5
72.9
82.3
3.3
65.5
72.9
82.3
3.3
65.5
72.9
82.3
....
....
....
....
....
....
....
....
....
....
....
....
3.6
1.7
14.6
6.4
3.6
1.7
14.6
6.4
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

21.9 1,286.5

_______________________________________________________________________________________________________________________________
666
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Caledonia

839
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

6.7
13.7
13.7
13.7
....
....
....
20.5
20.5
....
....

749.1
79.8
79.8
79.8
....
....
....
669.3
669.3
....
....

417.5
1.8
1.8
1.8
....
....
....
419.3
419.3
....
....

1,746.4
51.6
51.6
51.6
....
....
....
1,694.8
1,694.8
....
....

1,182.3
76.8
76.8
76.8
....
....
....
1,105.5
1,105.5
....
....

1,439.1
95.5
95.5
95.5
....
....
....
1,343.6
1,343.6
....
....

....
....
....
....
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

241.4
241.4
....
....
....
....
....
....
241.4
....
....
....
241.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....

34.0
34.0
....
....
....
....
....
....
34.0
....
....
....
34.0
....
....
....
....
....
....
....
....
....
....
....
....
....
....

134.5
134.5
....
....
....
....
....
....
134.5
....
....
....
134.5
....
....
....
....
....
....
....
....
....
....
....
....
....
....

218.1
218.1
....
....
....
....
....
....
218.1
....
....
....
218.1
....
....
....
....
....
....
....
....
....
....
....
....
....
....

169.2
169.2
....
....
....
....
....
....
169.2
....
....
....
169.2
....
....
....
....
....
....
....
....
....
....
....
....
....
....

130.3
130.3
....
....
....
....
....
....
130.3
....
....
....
130.3
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

185.1
379.3
....
379.3
40.6
229.6
....
109.1
....
194.2
....
....
194.2
....
213.4
33.3
14.1
....

204.8
201.5
....
201.5
70.3
.6
....
131.8
....
3.4
....
....
3.4
....
28.4
31.5
.3
....

254.2
224.8
....
224.8
73.9
26.3
....
124.7
....
29.4
....
....
29.4
....
211.4
41.7
199.1
....

614.2
526.1
....
526.1
297.8
92.4
....
135.8
....
88.2
....
....
88.2
....
8.6
37.7
41.9
....

565.1
542.6
....
542.6
263.1
64.2
....
215.3
....
22.5
....
....
22.5
....
45.2
56.7
11.0
....

95.5
75.0
....
75.0
118.6
93.2
....
136.8
....
20.6
....
....
20.6
....
51.3
29.7
60.4
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

....
....
....
....
....

NET ERRORS AND OMISSIONS.........................

....

84.5

69.7

268.1

131.2

89.6

62.5

....

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
667
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Zealand

196
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

2010

2011

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
A. Current Account.......................................... 10999F B XN
....
8,777
8,933 10,825 11,567
3,248
4,994

6,763

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

8,976

9,343

11,214

12,214

3,482

4,965

6,482

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

1,242
1,043

1,292
882

1,435
1,046

1,714
1,066

1,205
972

1,014
1,043

1,039
1,320

B. Capital Account........................................... 20999F B AA

....

197

216

553

446

275

2,797

8,337

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

740
937

8,974

650
866

9,148

656
1,209

11,378

766
1,213

12,013

1,165
890

2,974

3,866
1,070

2,198

9,645
1,309

C. Financial Account......................................... 30999F N AA

....

11,035

12,491

11,971

2,025

4,761

2,213

835

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

1,504
....
....

159
....
....

3,642
....
416

904
....
409

1,399
....
1,401

573
243
333

2,795
19
2,777

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

1,564
493
1,071

4,562
2,517
2,046

3,191
2,812
378

4,890
115
4,776

719
528
1,246

701
1,784
1,084

3,580
4,095
515

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

631
1,153
521

990
760
230

2,537
2,205
331

1,867
2,555
688

4,086
2,265
1,820

2,331
1,996
334

2,533
1,046
1,487

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

581
98
678

38
397
436

12,019
229
11,789

5,679
170
5,850

6,128
967
5,161

4,685
298
4,983

4,333
1,592
2,740

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

4,090
....
4,090

1,761
....
1,761

1,634
....
1,634

1,208
....
1,208

993
....
993

1,601
....
1,601

2,965
....
2,965

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

3,926
....
3,926

10,801
....
10,801

4,574
....
4,574

642
....
642

9,988

3,033
....
3,033

1,788

1,332
....
1,332

455
....
455

D. Net Errors and Omissions............................. 40999S N AA

....

356

912

2,494

4,991

1,866

832

320

E. Reserves and Related Items.......................... 4Z999S N AA

....

2,417

4,255

3,088

4,997

3,653

848

420

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

2,417
....
....

4,255
....
....

3,088
....
....

4,997
....
....

3,653
....
....

848
....
....

420
....
....

Conversion rates: New Zealand dollars per


U.S. dollar...................................................... RFZ F B

....

1.4203

1.5421

1.3607

1.4227

1.6002

1.3874

1.2658

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

....

2005

22,006
24,583

2006

22,576
24,573

2007

27,288
29,113

2008

2009

31,192
32,922

25,336
24,029

31,883
29,539

38,344
35,606

8,164
8,065

9,033
9,343

10,089
10,965
4,038
12,382

2,577

1,997

1,825

1,730

8,691
8,239

8,159
7,881

9,448
9,224

9,476
9,869

1,307

2,344

2,125

1,719

1,602

2,123

1,406

2,034

3,429
10,281

3,455
11,079

4,782
14,395

3,992
14,083

2,968
7,856

3,771
10,771

2,061

3,343

594

15

2,739

1,862

1,574

739

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
668
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Zealand

196
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
CURRENT ACCOUNT.......................................... 109999 B XN
....
8,777
8,933 10,825 11,567
3,248
4,994
GOODS AND SERVICES..................................... 1Z9999 B XN
....
2,125
1,719
1,602
2,123
1,406
2,034
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

30,697
32,822
2,577
22,006
21,358
....
173
24,583
24,226
12
452
8,691
8,239
....
....
....
....
1,694
....
....
....
2,801
....
....
....
5,210
517
4,693
2,671
546
2,124
1,377
37
27
87
93
467
391
173
102
2,769
29
240
126
554
551
1,138
43
89

30,735
32,455
1,997
22,576
21,867
....
186
24,573
24,182
14
278
8,159
7,881
....
....
....
....
1,689
....
....
....
2,659
....
....
....
4,791
462
4,328
2,534
517
2,017
838
10
27
80
123
343
....
158
97
2,059
89
209
75
497
471
592
41
85

36,736
38,337
1,825
27,288
26,518
....
202
29,113
28,554
19
223
9,448
9,224
....
....
....
....
1,986
....
....
....
2,970
....
....
....
5,413
592
4,820
3,077
607
2,470
1,832
7
30
80
140
404
807
250
114
2,901
107
218
118
602
529
1,179
51
98

40,667
42,791
1,730
31,192
30,063
....
364
32,922
32,058
32
393
9,476
9,869
....
....
....
....
1,965
....
....
....
3,182
....
....
....
5,152
606
4,546
3,006
605
2,401
2,339
....
....
88
179
425
1,153
352
122
3,681
120
185
104
603
556
1,934
71
108

33,501
32,095
1,307
25,336
24,409
....
338
24,029
23,585
29
99
8,164
8,065
....
....
....
....
1,477
....
....
....
2,235
....
....
....
4,593
404
4,188
2,581
484
2,097
2,084
....
....
81
159
354
1,001
352
108
3,249
109
186
89
560
499
1,635
65
107

40,916
38,882
2,344
31,883
30,824
....
382
29,539
28,971
30
310
9,033
9,343
....
....
....
....
1,780
....
....
....
2,748
....
....
....
4,906
425
4,481
3,038
608
2,430
2,312
....
....
102
183
419
1,139
345
125
3,487
....
....
109
669
529
1,783
71
117

6,763
1,862
48,433
46,571
2,739
38,344
36,853
....
490
35,606
34,879
33
877
10,089
10,965
....
....
....
....
1,984
....
....
....
3,047
....
....
....
5,493
500
4,993
3,459
691
2,768
2,584
....
....
167
236
483
1,292
250
147
4,322
45
273
154
933
641
2,077
75
128

....
....
....
....
....
....
....
....
....
....
....

6,852
3,429
10,281
....
55
3,429
372
381
....
....
10

7,623
3,455
11,079
....
53
3,456
422
383
....
....
38

9,613
4,782
14,395
....
66
4,783
853
827
....
....
26

10,091
3,992
14,083
....
93
3,928
201
....
....
....
20

4,887
2,968
7,856
....
82
2,958
217
229
....
....
12

6,999
3,771
10,771
....
100
3,774
587
646
374
272
59

8,344
4,038
12,382
....
88
4,039
343
386
728
342
43

_______________________________________________________________________________________________________________________________
669
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Zealand

196
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

594
271
....
....
323
2,463
....
2,463
....
....
....
....
10,225
4,981
4,423
2,041
2,382
558
2,539
775
....
....
1,764
2,705
....
2,705
....
....
....

835
370
....
....
465
2,200
....
2,200
....
....
....
....
11,024
4,956
4,263
2,707
1,556
693
2,787
692
....
....
2,094
3,281
....
3,281
....
....
....

1,413
547
....
....
866
2,517
....
2,517
....
....
....
....
14,330
6,361
5,190
3,871
1,319
1,171
3,626
813
....
....
2,812
4,344
....
4,344
....
....
....

1,447
591
....
....
856
2,281
....
2,281
....
....
....
....
13,990
6,081
4,607
4,631
24
1,474
3,392
732
....
....
2,660
4,517
....
4,517
....
....
....

970
488
....
....
482
1,771
....
1,771
....
....
....
....
7,774
3,289
2,156
2,376
220
1,133
1,889
486
....
....
1,403
2,596
....
2,596
....
....
....

1,224
558
....
....
666
1,963
....
1,963
....
....
....
....
10,670
5,560
4,350
2,582
1,768
1,210
2,237
574
....
....
1,663
2,873
....
2,873
....
....
....

1,520
781
....
....
740
2,175
....
2,175
....
....
....
....
12,295
6,332
5,001
3,614
1,387
1,331
2,739
567
....
....
2,172
3,224
....
3,224
....
....
....

....
....
....
....
....
....
....
....
....
....
....

199
1,242
872
370
....
....
1,043
336
707
....
....

410
1,292
939
352
....
....
882
308
573
....
....

389
1,435
1,029
407
....
....
1,046
367
679
....
....

647
1,714
1,263
451
....
....
1,066
374
693
....
....

233
1,205
846
359
....
....
972
354
618
....
....

29
1,014
613
402
....
....
1,043
396
647
....
....

281
1,039
548
489
....
....
1,320
431
890
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

197
1
1
739
....
....
....
739
936
....
....
....
936

216
....
1
650
....
....
....
650
865
....
....
....
865

553
2
2
654
....
....
....
654
1,207
....
....
....
1,207

446
126
11
641
....
....
....
641
1,202
....
....
....
1,202

275
537
19
628
....
....
....
628
871
....
....
....
871

2,797
24
13
3,843
....
....
....
2,623
1,057
....
....
....
1,057

8,337
15
21
9,630
....
....
....
7,496
1,287
....
....
....
1,287

FINANCIAL ACCOUNT........................................ 30999S N AA

....

8,618

8,236

8,883

7,022

1,108

1,365

1,255

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

3,068
1,504
....
....
....
....
....
....
....
....
....
....

4,403
159
....
....
....
....
....
....
....
....
....
....

451
3,642
....
....
....
....
....
....
416
416
....
....

3,986
904
....
....
....
....
....
....
409
409
....
....

680
1,399
....
....
....
....
....
....
1,401
1,401
....
....

128
573
243
29
29
....
....
272
333
333
....
....

785
2,795
19
361
361
....
....
342
2,777
2,777
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

_______________________________________________________________________________________________________________________________
670
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Zealand

196
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

1,564
493
1,889
1,889
....
....
2,382
1,071
1,071
....
....

4,562
2,517
961
961
....
....
1,556
2,046
2,046
....
....

3,191
2,812
1,494
1,494
....
....
1,319
378
378
....
....

4,890
115
139
139
....
....
24
4,776
4,776
....
....

719
528
748
748
....
....
220
1,246
1,246
....
....

701
1,784
16
16
....
....
1,768
1,084
1,084
....
....

3,580
4,095
2,708
2,708
....
....
1,387
515
515
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

50
631
1,153
....
....
....
....
....
521
....
....
....
....
....
581
98
....
....
....
....
....
678
....
....
....
....
....

952
990
760
....
....
....
....
....
230
....
....
....
....
....
38
397
....
....
....
....
....
436
....
....
....
....
....

9,482
2,537
2,205
....
....
....
....
....
331
....
....
....
....
....
12,019
229
....
....
....
....
....
11,789
....
....
....
....
....

3,812
1,867
2,555
....
....
....
....
....
688
....
....
....
....
....
5,679
170
....
....
....
....
....
5,850
....
....
....
....
....

2,042
4,086
2,265
....
....
....
....
....
1,820
....
....
....
....
....
6,128
967
....
....
....
....
....
5,161
....
....
....
....
....

2,354
2,331
1,996
....
....
....
....
....
334
....
....
....
....
....
4,685
298
....
....
....
....
....
4,983
....
....
....
....
....

1,800
2,533
1,046
....
....
....
....
....
1,487
....
....
....
....
....
4,333
1,592
....
....
....
....
....
2,740
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

8,016
4,090
....
4,090
....
....
....
....
....
3,926
....
....
3,926
....
....
....
....
....

9,040
1,761
....
1,761
....
....
....
....
....
10,801
....
....
10,801
....
....
....
....
....

2,941
1,634
....
1,634
....
....
....
....
....
4,574
....
....
4,574
....
....
....
....
....

1,850
1,208
....
1,208
....
....
....
....
....
642
....
....
642
....
....
....
....
....

2,040
993
....
993
....
....
....
....
....
3,033
....
1,112
1,920
....
....
....
....
....

269
1,601
....
1,601
....
....
....
....
....
1,332
....
....
1,332
....
....
....
....
....

3,421
2,965
....
2,965
....
....
....
....
....
455
....
....
455
....
....
....
....
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

2,417
....
3
277
2,691

4,255
....
3
53
4,311

3,088
....
6
29
3,124

4,997
....
5
81
5,072

3,653
....
1,314
93
2,246

848
....
....
5
842

420
....
42
231
231

NET ERRORS AND OMISSIONS.........................

....

356

912

2,494

4,991

1,866

832

320

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
671
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Zealand

196
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
65,693
81,771 103,452
79,371
97,059 114,029
Direct investment............................................. 8A9999 A AA
....
11,807
13,416
16,094
14,122
14,075
16,767
Equity and investment fund shares................. 8AA000 A AA
....
10,243
11,173
13,150
12,210
12,922
14,604
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment............................................. 8A9999 L AA
Equity and investment fund shares................. 8AA000 L AA
Direct investor in DIEnt................................................ 8AA100 L AA
DIEnt in direct investor (reverse investment)................. 8AA200 L AA
Between fellow enterprises.......................................... 8AA300 L AA

Debt instruments............................................ 8AB000 L AA


Direct investor in DIEnt................................................ 8AB100 L AA
DIEnt in direct investor (reverse investment)................. 8AB200 L AA
Between fellow enterprises.......................................... 8AB300 L AA

Portfolio investment........................................ 8B9999 L AA


Equity and investment fund shares................. 8BA000 L AA
Central bank............................................................... 8BA000 L CA
Deposit-taking corporations, exc. the central bank....... 8BA000 L DA
General government.................................................... 8BA000 L GA
Other sectors............................................................... 8BA000 L OA

of which: Other financial corporations......................... 8BA000 L FA


Debt securities................................................ 8BB000 L AA

Central bank............................................................... 8BB000 L CA


Deposit-taking corporations, exc. the central bank....... 8BB000 L DA
General government.................................................... 8BB000 L GA
Other sectors............................................................... 8BB000 L OA

of which: Other financial corporations......................... 8BB000 L FA

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
1,564
....
....
....
31,536
25,613
....
....
....
....
....
5,923
....
....
....
....
....
2,758
10,696
....
10,696
....
....
....
....
....
8,896
....
34
165
8,697

....
....
....
2,243
....
....
....
36,917
30,421
....
....
....
....
....
6,496
....
....
....
....
....
4,151
13,219
....
13,219
....
....
....
....
....
14,069
....
33
119
13,916

....
....
....
2,944
....
....
....
45,869
37,083
....
....
....
....
....
8,786
....
....
....
....
....
7,262
16,980
....
16,980
....
....
....
....
....
17,247
....
28
95
17,124

....
....
....
1,912
....
....
....
27,272
19,552
....
....
....
....
....
7,720
....
....
....
....
....
14,240
12,685
....
12,685
....
....
....
....
....
11,052
....
22
175
10,854

....
....
....
1,153
....
....
....
40,685
30,013
....
....
....
....
....
10,672
....
....
....
....
....
10,116
16,588
....
16,588
....
....
....
....
....
15,595
....
1,340
273
13,983

....
....
....
2,163
....
....
....
47,917
35,604
....
....
....
....
....
12,313
....
....
....
....
....
12,906
19,717
....
19,717
....
....
....
....
....
16,722
....
1,317
273
15,132

124,365
19,006
14,237
....
....
....
4,770
....
....
....
48,998
34,567
....
....
....
....
....
14,432
....
....
....
....
....
16,672
22,675
....
22,675
....
....
....
....
....
17,013
....
1,272
499
15,242

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

147,544
51,615
30,506
....
....
....
21,108
....
....
....
54,076
11,489
....
....
....
....
....
42,587
....
....
....
....
....

172,761
59,994
34,778
....
....
....
25,216
....
....
....
56,869
11,818
....
....
....
....
....
45,051
....
....
....
....
....

207,208
68,544
38,775
....
....
....
29,769
....
....
....
71,864
12,533
....
....
....
....
....
59,330
....
....
....
....
....

167,623
52,267
25,772
....
....
....
26,495
....
....
....
52,574
5,738
....
....
....
....
....
46,836
....
....
....
....
....

206,610
65,849
33,937
....
....
....
31,911
....
....
....
66,542
9,240
....
....
....
....
....
57,302
....
....
....
....
....

226,939
70,508
37,341
....
....
....
33,167
....
....
....
75,004
9,243
....
....
....
....
....
65,761
....
....
....
....
....

237,722
73,917
40,905
....
....
....
33,012
....
....
....
79,147
8,883
....
....
....
....
....
70,264
....
....
....
....
....

_______________________________________________________________________________________________________________________________
672
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

New Zealand

196
Table 3 (Concluded). INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

Finan. deriv. (other than reserves) and ESOs... 8C9999 L AA


Other investment............................................. 8D999S L AA
Other equity.................................................... 8DA000 L AA
Special drawing rights (allocations)............... 8DG00S L AA
Other debt instruments................................... 8DY00S L AA
Central bank............................................................... 8DY00S L CA
Deposit-taking corporations, exc. the central bank....... 8DY000 L DA
General government.................................................... 8DY00S L GA
Other sectors............................................................... 8DY000 L OA

of which: Other financial corporations.......................... 8DY000 L FA

NET INTERNATIONAL INVESTMENT POSITION..

80999S N AA

Conversion rates: New Zealand


dollars/U.S.Dollar (end of period)................. AEZ F B

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....

3,553
38,301
....
202
38,099
....
....
....
....
....

5,185
50,713
....
213
50,500
....
....
....
....
....

7,112
59,688
....
223
59,464
....
....
....
....
....

13,406
49,376
....
218
49,158
....
....
....
....
....

11,673
62,547
....
1,338
61,208
....
....
....
....
....

13,285
68,142
....
1,315
66,827
....
....
....
....
....

16,873
67,786
....
1,311
66,475
....
....
....
....
....

....

81,851

....

1.4676

90,990 103,755
1.4166

1.2920

88,253 109,552 112,911 113,358


1.7286

1.3856

1.2977

1.2965

_______________________________________________________________________________________________________________________________
673
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Nicaragua

278
Table 1. ANALYTIC PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis

A. Current Account..........................................

10999F B XN

....

783.6

845.1 1,224.5 1,507.4

775.1

883.0 1,302.1

Goods, credit (exports)................................................... 1A9999 C XN


Goods, debit (imports)................................................... 1A9999 D XN

....
....
....

880.4
2,404.6

1,061.9
2,777.6

2,131.4
3,742.6

2,801.0
4,535.5

Services, credit (exports)................................................ 1B9999 C XN


Services, debit (imports)................................................. 1B9999 D XN

....
....
....

Primary income: credit................................................... 1C9999 C XA


Primary income: debit.................................................... 1C9999 D XA

Balance on goods, services, and primary income........... 1Y9999 B XN

....
....
....

1,641.0

1,848.4

2,299.1

2,647.3

1,893.5

2,055.8

2,493.7

Secondary income: credit............................................... 1D999F C AA


Secondary income: debit................................................ 1D9999 D AA

....
....

857.4
....

1,003.3
....

1,074.6
....

1,139.9
....

1,118.4
....

1,172.8
....

1,191.6
....

B. Capital Account........................................... 20999F B AA

....

297.1

359.8

383.5

377.9

394.0

271.3

250.2

Capital account: credit................................................... 20999F C AA


Capital account: debit.................................................... 209999 D AA

Balance on current and capital account......................... 129999 B AN

....
....
....

297.1
....

486.5

359.8
....

485.3

383.5
....

841.0

377.9
....

1,129.5

394.0
....

381.1

271.3
....

611.7

250.2
....

C. Financial Account......................................... 30999F N AA

....

190.9

659.7

679.3 1,216.3

519.3

818.2 1,231.9

Direct investment: assets............................................... 3A9999 A AA


Equity and investment fund shares................................ 3AA000 A AA
Debt instruments.......................................................... 3AB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Direct investment: liabilities........................................... 3A999F L AA


Equity and investment fund shares................................ 3AA00F L AA
Debt instruments.......................................................... 3AB00F L AA

....
....
....

241.1
241.1
....

286.8
286.8
....

381.7
381.7
....

626.1
626.1
....

434.2
434.2
....

508.0
508.0
....

967.9
967.9
....

Portfolio investment: assets........................................... 3B9999 A AA


Equity and investment fund shares................................ 3BA000 A AA
Debt securities.............................................................. 3BB000 A AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Portfolio investment: liabilities....................................... 3B999F L AA


Equity and investment fund shares................................ 3BA00F L AA
Debt securities.............................................................. 3BB00F L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Finan. deriv. & employee stock options (ESOs): net......... 3C9999 N AA


Financial derivatives and ESOs: assets........................... 3C9999 A AA
Financial derivatives and ESOs: liabilities....................... 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

Other investment: assets................................................ 3D9999 A AA


Other equity................................................................. 3DA000 A AA
Debt instruments.......................................................... 3DZ000 A AA

....
....
....

182.3
....
182.3

4.9
....
4.9

188.8
....
188.8

113.0
....
113.0

189.1
....
189.1

100.9
....
100.9

232.2
....
232.2

Other investment: liabilities............................................ 3D999F L AA


Other equity................................................................. 3DA00F L AA
Debt instruments.......................................................... 3DZ00F L AA

Current + capital financial account balance............... 4Y999F N AA

....
....
....
....

132.1
....
132.1

368.0
....
368.0

486.4
....
486.4

477.2
....
477.2

86.8

274.2
....
274.2

138.2

411.1
....
411.1

206.5

496.2
....
496.2

180.0

D. Net Errors and Omissions............................. 40999S N AA


E. Reserves and Related Items.......................... 4Z999S N AA

Balance on goods......................................................... 1A9999 B XN

Balance on goods and services...................................... 1Z9999 B XN

1,928.4
3,803.5

2,286.1
4,554.5

3,655.1
5,835.9

1,524.2

1,715.7

1,875.1

2,268.4

1,611.2

1,734.5

2,180.8

530.7
448.2

588.9
501.5

445.7
656.5

595.0
750.1

632.4
664.2

672.8
719.2

771.9
837.5

1,441.7

1,628.3

2,085.9

2,423.5

1,643.0

1,780.9

2,246.4

22.7
222.0

41.4
261.5

48.2
261.4

40.6
264.4

14.7
265.2

14.5
289.4

17.4
264.7

295.6

174.4

....

62.6

231.1

33.7

313.6

79.6

300.4

371.8

....

358.1

56.7

195.3

226.8

58.5

94.0

191.8

Reserve assets............................................................... 3E999S A AA


Credit and loans from the IMF....................................... 3DC0ZS L AA
Exceptional financing..................................................... 4099E0 L AN

....
....
....

5.7
28.4
392.3

178.8
141.5
377.0

167.1
18.5
343.9

31.5
28.6
229.7

422.8
38.1
326.2

221.6
19.7
295.9

88.0
15.4
264.4

Conversion rates: crdobas per U.S. dollar......

....

16.733

17.570

18.449

19.372

20.339

21.356

22.424

RFZ F B

161.7

1,051.9

Excludes components that have been classified in the categories of Group E.


See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
674
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Nicaragua

278
Table 2. STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

Data reported to the IMF on a BPM6 basis


CURRENT ACCOUNT.......................................... 109999 B XN
....
783.6
845.1 1,224.5 1,507.4
775.1
883.0 1,302.1
GOODS AND SERVICES..................................... 1Z9999 B XN
. . . . 1,441.7 1,628.3 2,085.9 2,423.5 1,643.0 1,780.9 2,246.4
Total credit................................................................... 1Z9999 C XN
Total debit.................................................................... 1Z9999 D XN

Goods.............................................................. 1A9999 B XN
Credit............................................................. 1A9999 C XN
General merchandise: export...................................... 1AA000 C XN
Net exports of goods under merchanting..................... 1AB000 B XN
Nonmonetary gold: export.......................................... 1AC000 C XN

Debit............................................................... 1A9999 D XN

General merchandise: import...................................... 1AA000 D XN


Nonmonetary gold: import.......................................... 1AC000 D XN

Services........................................................... 1B9999 B XN

Total credit.................................................................. 1B9999 C XN


Total debit................................................................... 1B9999 D XN

Manufacturing services, credit..................... 1BA000 C XN


Manufacturing services, debit...................... 1BA000 D XN
Maintenance & repair services n.i.e., credit. 1BB000 C XN
Maintenance & repair services n.i.e., debit.. 1BB000 D XN
Transport, credit........................................... 1BC000 C XN
Passenger.................................................................. 1BC00Z C XN
Freight...................................................................... 1BC00Y C XN
Other (including postal and courier)........................... 1BC00W C XN
Transport, debit............................................ 1BC000 D XN
Passenger.................................................................. 1BC00Z D XN
Freight...................................................................... 1BC00Y D XN
Other (including postal and courier)........................... 1BC00W D XN
Travel, credit................................................. 1BD000 C XN
Business.................................................................... 1BD100 C XN
Personal.................................................................... 1BD130 C XN

Travel, debit.................................................. 1BD000 D XN


Business.................................................................... 1BD100 D XN
Personal.................................................................... 1BD130 D XN

Other services, credit.................................... 1B999Z C XN

Construction.............................................................. 1BE000 C XN
Insurance and pension services.................................. 1BF000 C XN
Financial services....................................................... 1BG000 C XN
Charges for the use of intellectual property n.i.e......... 1BH000 C XN
Telecom., computer, and information services............ 1BJ000 C XN
Other business services.............................................. 1BK000 C XN
Personal, cultural, and recreational services................ 1BL000 C XN
Government goods and services n.i.e......................... 1BM000 C XN

Other services, debit..................................... 1B999Z D XN

Construction.............................................................. 1BE000 D XN
Insurance and pension services.................................. 1BF000 D XN
Financial services....................................................... 1BG000 D XN
Charges for the use of intellectual property n.i.e......... 1BH000 D XN
Telecom., computer, and information services............ 1BJ000 D XN
Other business services.............................................. 1BK000 D XN
Personal, cultural, and recreational services................ 1BL000 D XN
Government goods and services n.i.e......................... 1BM000 D XN

PRIMARY INCOME............................................ 1C9999 B XA


Total credit................................................................... 1C9999 C XA
Total debit.................................................................... 1C9999 D XA

Compensation of employees, credit............... 1CA000 C XA


Compensation of employees, debit................ 1CA000 D XA
Investment income, credit.............................. 1CB000 C XA
Direct investment income............................................. 1CB100 C XA
Income on equity and investment fund shares............. 1CB110 C XA
Dividends and withdr. from income of quasi-corp....... 1CB111 C XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 C XA
Interest....................................................................... 1CB120 C XA

....
1,411.1
1,650.8
2,374.1
2,881.1
2,763.8
3,473.8
4,427.0
....
2,852.8
3,279.1
4,460.0
5,304.6
4,406.8
5,254.7
6,673.4
. . . . 1,524.2 1,715.7 1,875.1 2,268.4 1,611.2 1,734.5 2,180.8
....
880.4 1,061.9 1,928.4 2,286.1 2,131.4 2,801.0 3,655.1
....
838.0
1,006.6
1,867.0
2,208.0
2,050.2
2,592.7
3,302.9
....
....
....
....
....
....
....
....
....
42.4
55.3
61.4
78.1
81.2
208.3
352.2
....
2,404.6 2,777.6 3,803.5 4,554.5 3,742.6 4,535.5 5,835.9
....
2,404.6
2,777.6
3,803.5
4,554.5
3,742.6
4,535.5
5,835.9
....
....
....
....
....
....
....
....
....
82.5
87.4
210.8
155.1
31.8
46.4
65.6
....
530.7
588.9
445.7
595.0
632.4
672.8
771.9
....
448.2
501.5
656.5
750.1
664.2
719.2
837.5
....
222.2
243.5
72.1
68.7
72.6
99.8
112.4
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
33.8
42.8
44.1
47.1
46.7
49.1
52.7
....
....
....
....
....
....
....
....
11.3
12.8
14.5
15.7
15.0
12.9
14.3
....
....
22.5
30.0
29.6
31.4
31.7
36.2
38.4
....
233.9
266.9
322.9
348.0
290.9
336.4
369.0
70.9
91.1
101.1
112.4
108.1
123.6
127.5
....
....
163.0
175.8
221.8
233.6
181.3
210.1
238.5
....
....
....
....
2.0
1.5
2.7
3.0
....
206.3
230.6
255.1
301.0
334.4
308.5
377.1
....
....
....
....
5.0
5.7
7.6
7.8
....
206.3
230.6
255.1
296.0
328.7
300.9
369.3
....
90.8
97.0
177.8
219.8
191.6
205.3
251.9
....
....
....
....
.4
.2
.1
1.1
....
90.8
97.0
177.8
219.4
191.4
205.2
250.8
....
68.4
72.0
74.4
178.2
178.7
215.4
229.7
....
....
....
....
....
....
....
....
....
2.8
3.5
3.7
4.3
4.9
4.3
3.9
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
28.3
29.4
30.5
78.9
74.2
71.2
72.8
....
....
....
....
20.3
19.9
53.0
66.9
....
....
....
....
....
....
....
....
....
37.3
39.1
40.2
74.7
79.7
86.9
86.1
....
123.5
137.6
155.8
182.3
181.7
177.5
216.6
....
....
....
....
....
....
....
....
....
40.8
43.9
56.4
57.9
55.6
66.2
75.9
....
....
6.8
5.6
5.9
6.2
6.2
6.2
....
....
....
....
.8
.8
.8
.8
....
5.1
5.3
5.6
24.9
22.8
26.0
31.3
....
53.0
55.0
57.0
58.1
60.1
45.6
65.0
....
....
....
....
.1
.1
.1
.3
....
24.6
26.6
31.2
34.6
36.1
32.6
37.1
....
....
....
....
....
....
....
....
....
....
....

199.3
22.7
222.0
....
....
22.7
....
....
....
....
....

220.1
41.4
261.5
....
....
41.4
....
....
....
....
....

213.2
48.2
261.4
....
....
48.2
....
....
....
....
....

223.8
40.6
264.4
1.8
1.2
38.8
....
....
....
....
....

250.5
14.7
265.2
1.9
1.2
12.8
....
....
....
....
....

274.9
14.5
289.4
2.0
1.2
12.5
....
....
....
....
....

247.3
17.4
264.7
2.0
1.3
15.4
....
....
....
....
....

_______________________________________________________________________________________________________________________________
675
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Nicaragua

278
Table 2 (Continued). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
22.7
....
22.7
....
....
....
....
222.0
82.4
82.4
82.4
....
....
....
....
....
....
....
139.6
....
139.6
....
....
....

....
....
....
....
....
41.4
....
41.4
....
....
....
....
261.5
84.9
84.9
84.9
....
....
....
....
....
....
....
176.6
....
176.6
....
....
....

....
....
....
....
....
48.2
....
48.2
....
....
....
....
261.4
92.6
92.6
92.6
....
....
....
....
....
....
....
168.8
....
168.8
....
....
....

....
....
....
....
....
38.8
....
38.8
....
....
....
....
263.2
112.9
112.9
112.9
....
....
....
....
....
....
....
150.3
....
150.3
....
....
....

....
....
....
....
....
12.8
....
12.8
....
....
....
....
264.0
121.3
121.3
121.3
....
....
....
....
....
....
....
142.7
....
142.7
....
....
....

....
....
....
....
....
12.5
....
12.5
....
....
....
....
288.2
135.2
135.2
135.2
....
....
....
....
....
....
....
153.0
....
153.0
....
....
....

....
....
....
....
....
15.4
....
15.4
....
....
....
....
263.4
146.1
146.1
146.1
....
....
....
....
....
....
....
117.3
....
117.3
....
....
....

....
....
....
....
....
....
....
....
....
....
....

857.4
857.4
....
857.4
615.7
241.7
....
....
....
....
....

1,003.3
1,003.3
....
1,003.3
697.5
305.8
....
....
....
....
....

1,074.6
1,074.6
80.0
994.6
739.6
255.0
....
....
....
....
....

1,139.9
1,139.9
....
1,139.9
818.1
321.8
....
....
....
....
....

1,118.4
1,118.4
....
1,118.4
768.4
350.0
....
....
....
....
....

1,172.8
1,172.8
....
1,172.8
822.8
350.0
....
....
....
....
....

1,191.6
1,191.6
....
1,191.6
911.6
280.0
....
....
....
....
....

General government..................................................... 20A100 D GA


Debt forgiveness.......................................................... 20A110 D GA
Other capital transfers................................................. 20A120 D GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 D OA

....
....
....
....
....
....
....
....
....
....
....
....
....

479.1
....
....
479.1
345.1
182.0
163.1
134.0
....
....
....
....
....

1,590.2
....
....
1,590.2
1,440.2
1,230.4
209.8
150.0
....
....
....
....
....

2,903.4
....
....
2,903.4
2,732.5
2,519.9
212.6
170.9
....
....
....
....
....

437.0
....
....
437.0
243.3
59.1
184.2
193.7
....
....
....
....
....

557.2
....
....
557.2
314.8
163.2
151.6
242.4
....
....
....
....
....

282.4
....
....
282.4
133.3
11.1
122.2
149.1
....
....
....
....
....

261.7
....
....
261.7
151.1
11.5
139.6
110.6
....
....
....
....
....

FINANCIAL ACCOUNT........................................ 30999S N AA

....

367.0

514.0

1,645.2 1,384.0

297.5

901.1 1,412.2

DIRECT INVESTMENT........................................ 3A9999 N AA


Net acquisition of financial assets.................. 3A9999 A AA
Equity and investment fund shares................ 3AA000 A AA

....
....
....
....
....
....
....
....
....
....
....
....

241.1
....
....
....
....
....
....
....
....
....
....
....

286.8
....
....
....
....
....
....
....
....
....
....
....

381.7
....
....
....
....
....
....
....
....
....
....
....

434.2
....
....
....
....
....
....
....
....
....
....
....

508.0
....
....
....
....
....
....
....
....
....
....
....

Portfolio investment income......................................... 1CB200 C XA


Investment income on equity and invest. fund shares.. 1CB210 C XA
Dividends on equity exc. invest. fund shares............... 1CB211 C XA
Income attr. to invest. fund shareholders.................... 1CB212 C XA
Interest....................................................................... 1CB220 C XA
Other investment income............................................. 1CB300 C XA
Withdrawals from income of quasi-corporations.......... 1CB310 C XA
Interest....................................................................... 1CB320 C XA
Income attr. to policyholders in insurance, etc............. 1CB330 C XA
Income on reserve assets............................................. 1CB400 C XA
Income on equity and investment fund shares............. 1CB410 C XA
Interest....................................................................... 1CB420 C XA

Investment income, debit............................... 1CB000 D XA


Direct investment income............................................. 1CB100 D XA
Income on equity and investment fund shares............. 1CB110 D XA
Dividends and withdr. from income of quasi-corp....... 1CB111 D XA
Reinvested earnings (direct investor in DIEnt)............. 1CB112 D XA
Interest....................................................................... 1CB120 D XA
Portfolio investment income......................................... 1CB200 D XA
Investment income on equity and invest. fund shares.. 1CB210 D XA
Dividends on equity exc. invest. fund shares............... 1CB211 D XA
Income attr. to invest. fund shareholders.................... 1CB212 D XA
Interest....................................................................... 1CB220 D XA
Other investment income............................................. 1CB300 D XA
Withdrawals from income of quasi-corporations.......... 1CB310 D XA
Interest....................................................................... 1CB320 D XA
Income attr. to policyholders in insurance, etc............. 1CB330 D XA

Other primary income, credit.......................... 1CC000 C XA


Other primary income, debit........................... 1CC000 D XA
SECONDARY INCOME....................................... 1D9999 B AA
Credit.............................................................. 1D9999 C AA
General government.................................................... 1D9999 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 C OA
Personal transfers....................................................... 1DF000 C OA
Other current transfers................................................ 1DG000 C OA

Debit................................................................ 1D9999 D AA

General government.................................................... 1D9999 D GA


Fin. corp., nonfin. corp., HHs, and NPISHs.................... 1D9999 D OA
Personal transfers....................................................... 1DF000 D OA
Other current transfers................................................ 1DG000 D OA

CAPITAL ACCOUNT............................................ 209999 B AA


Gross dispos.of nonprod.nonfin. assets,credit 20A000 C AA
Gross acqs. of nonprod.nonfin. assets, debit.. 20A000 D AA
Capital transfers, credit................................... 20A100 C AA
General government..................................................... 20A100 C GA
Debt forgiveness.......................................................... 20A110 C GA
Other capital transfers................................................. 20A120 C GA
Fin. corp., nonfin. corp., HHs, and NPISHs..................... 20A100 C OA

Capital transfers, debit.................................... 20A100 D AA

Equity other than reinvestment of earnings................. 3AA100 A AA


Direct investor in DIEnt.............................................. 3AA110 A AA
DIEnt in direct investor (reverse investment)............... 3AA120 A AA
Between fellow enterprises........................................ 3AA130 A AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 A AA

Debt instruments........................................... 3AB000 A AA


Direct investor in DIEnt............................................... 3AB100 A AA
DIEnt in direct investor (reverse investment)................ 3AB200 A AA
Between fellow enterprises......................................... 3AB300 A AA

626.1
....
....
....
....
....
....
....
....
....
....
....

967.9
....
....
....
....
....
....
....
....
....
....
....

_______________________________________________________________________________________________________________________________
676
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Nicaragua

278
Table 2 (Concluded). STANDARD PRESENTATION, 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

2011

....
....
....
....
....
....
....
....
....
....
....

241.1
241.1
241.1
241.1
....
....
....
....
....
....
....

286.8
286.8
286.8
286.8
....
....
....
....
....
....
....

381.7
381.7
381.7
381.7
....
....
....
....
....
....
....

626.1
626.1
626.1
626.1
....
....
....
....
....
....
....

434.2
434.2
434.2
434.2
....
....
....
....
....
....
....

508.0
508.0
508.0
508.0
....
....
....
....
....
....
....

967.9
967.9
967.9
967.9
....
....
....
....
....
....
....

of which: Other financial corporations........................ 3BB000 L FA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

FINAN. DERIV. (OTH. THAN RESERVES) & ESOs 3C9999 N AA


Net acquisition of financial assets.................. 3C9999 A AA
Net incurrence of liabilities............................. 3C9999 L AA

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

....
....
....

OTHER INVESTMENT......................................... 3D999S N AA


Net acquisition of financial assets.................. 3D9999 A AA
Other equity................................................... 3DA000 A AA
Debt instruments........................................... 3DZ000 A AA

....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....
....

131.7
182.3
....
182.3
53.8
20.6
....
107.9
....
314.0
....
....
314.0
8.5
91.9
85.7
144.9
....

622.0 1,859.8
4.9
188.8
....
....
4.9
188.8
8.5
9.1
9.2
7.3
....
....
4.2
172.4
....
....
626.9 1,671.0
....
....
....
....
626.9 1,671.0
243.3
61.5
166.2
36.0
833.2 2,301.0
283.4
532.4
....
....

789.4
113.0
....
113.0
7.3
42.9
....
163.2
....
676.4
....
....
676.4
66.6
24.1
63.0
522.7
....

286.2
189.1
....
189.1
6.5
222.1
....
39.5
....
475.2
....
164.1
311.2
96.3
80.9
226.3
262.1
....

614.7
100.9
....
100.9
7.1
255.4
....
161.6
....
715.5
....
....
715.5
19.8
74.5
213.5
556.8
....

532.3
232.2
....
232.2
7.2
20.5
....
204.5
....
764.5
....
....
764.5
13.7
65.3
186.2
629.9
....

Monetary gold.............................................................. 3EA000 A AA


Special drawing rights................................................... 3EB00S A AA
Reserve position in the IMF........................................... 3EC00S A AA
Other reserve assets..................................................... 3ED000 A AA

....
....
....
....
....

5.7
....
.2
....
5.9

178.8
....
.1
....
178.7

167.1
....
.3
....
167.4

31.5
....
....
....
31.5

422.8
....
163.7
....
259.1

221.6
....
.1
....
221.7

88.0
....
15.3
....
72.7

NET ERRORS AND OMISSIONS.........................

....

62.6

231.1

33.7

313.6

79.6

300.4

371.8

Net incurrence of liabilities............................. 3A9999 L AA


Equity and investment fund shares................ 3AA000 L AA
Equity other than reinvestment of earnings................. 3AA100 L AA
Direct investor in DIEnt.............................................. 3AA110 L AA
DIEnt in direct investor (reverse investment)............... 3AA120 L AA
Between fellow enterprises........................................ 3AA130 L AA
Reinvestment of earnings (direct investor in DIEnt)...... 3AA200 L AA

Debt instruments........................................... 3AB000 L AA


Direct investor in DIEnt............................................... 3AB100 L AA
DIEnt in direct investor (reverse investment)................ 3AB200 L AA
Between fellow enterprises......................................... 3AB300 L AA

PORTFOLIO INVESTMENT................................. 3B9999 N AA


Net acquisition of financial assets.................. 3B9999 A AA
Equity and investment fund shares................ 3BA000 A AA
Central bank.............................................................. 3BA000 A CA
Deposit-taking corporations, exc. the central bank...... 3BA000 A DA
General government................................................... 3BA000 A GA
Other sectors.............................................................. 3BA000 A OA

of which: Other financial corporations........................ 3BA000 A FA


Debt securities............................................... 3BB000 A AA

Central bank.............................................................. 3BB000 A CA


Deposit-taking corporations, exc. the central bank...... 3BB000 A DA
General government................................................... 3BB000 A GA
Other sectors.............................................................. 3BB000 A OA

of which: Other financial corporations........................ 3BB000 A FA


Net incurrence of liabilities............................. 3B9999 L AA
Equity and investment fund shares................ 3BA000 L AA

Central bank.............................................................. 3BA000 L CA


Deposit-taking corporations, exc. the central bank...... 3BA000 L DA
General government................................................... 3BA000 L GA
Other sectors.............................................................. 3BA000 L OA

of which: Other financial corporations........................ 3BA000 L FA


Debt securities............................................... 3BB000 L AA

Central bank.............................................................. 3BB000 L CA


Deposit-taking corporations, exc. the central bank...... 3BB000 L DA
General government................................................... 3BB000 L GA
Other sectors.............................................................. 3BB000 L OA

Central bank.............................................................. 3DZ000 A CA


Deposit-taking corporations, exc. the central bank...... 3DZ000 A DA
General government................................................... 3DZ000 A GA
Other sectors.............................................................. 3DZ000 A OA

of which: Other financial corporations........................ 3DZ000 A FA


Net incurrence of liabilities............................. 3D999S L AA
Other equity................................................... 3DA000 L AA
Special drawing rights (allocations).............. 3DG00S L AA
Other debt instruments.................................. 3DY00S L AA
Central bank.............................................................. 3DY00S L CA
Deposit-taking corporations, exc. the central bank...... 3DY000 L DA
General government................................................... 3DY00S L GA
Other sectors.............................................................. 3DY000 L OA

of which: Other financial corporations........................ 3DY000 L FA

RESERVE ASSETS.............................................. 3E999S A AA

40999S N AA

See Introduction for discussion of BPM6 sign convention.

_______________________________________________________________________________________________________________________________
677
2012, International Monetary Fund: Balance of Payments Statistics Yearbook

International Monetary Fund. Not for Redistribution

Nicaragua

278
Table 3. INTERNATIONAL INVESTMENT POSITION (End-period stocks), 20052011
(Millions of U.S. dollars)

Code

....

2005

2006

2007

2008

2009

2010

Data reported to the IMF on a BPM5 basis are rearranged to a BPM6 presentational basis, for publication purposes
ASSETS.............................................................. 80999S A AA
....
1,172.8 1,440.7 1,709.7 1,974.1 2,680.3 3,322.3
Direct investment............................................. 8A9999 A AA
....
....
....
....
....
....
....
Equity and investment fund shares................. 8AA000 A AA
....
....
....
....
....
....
....
Direct investor in DIEnt................................................ 8AA100 A AA
DIEnt in direct investor (reverse investment)................. 8AA200 A AA
Between fellow enterprises.......................................... 8AA300 A AA

Debt instruments............................................ 8AB000 A AA


Direct investor in DIEnt................................................ 8AB100 A AA
DIEnt in direct investor (reverse investment)................. 8AB200 A AA
Between fellow enterprises.......................................... 8AB300 A AA

Portfolio investment........................................ 8B9999 A AA


Equity and investment fund shares................. 8BA000 A AA
Central bank............................................................... 8BA000 A CA
Deposit-taking corporations, exc. the central bank....... 8BA000 A DA
General government.................................................... 8BA000 A GA
Other sectors............................................................... 8BA000 A OA

of which: Other financial corporations......................... 8BA000 A FA


Debt securities................................................ 8BB000 A AA

Central bank............................................................... 8BB000 A CA


Deposit-taking corporations, exc. the central bank....... 8BB000 A DA
General government.................................................... 8BB000 A GA
Other sectors............................................................... 8BB000 A OA

of which: Other financial corporations......................... 8BB000 A FA


Finan. deriv. (other than reserves) and ESOs... 8C9999 A AA
Other investment............................................. 8D9999 A AA
Other equity.................................................... 8DA000 A AA
Debt instruments............................................ 8DZ000 A AA
Central bank............................................................... 8DZ000 A CA
Deposit-taking corporations, exc. the central bank....... 8DZ000 A DA
General government.................................................... 8DZ000 A GA
Other sectors............................................................... 8DZ000 A OA

of which: Other financial corporations......................... 8DZ000 A FA


Reserve assets.................................................. 8E999S A AA

Monetary gold.............................................................. 8EA000 A AA


Special drawing rights................................................... 8EB00S A AA
Reserve position in the IMF........................................... 8EC00S A AA
Other reserve assets..................................................... 8ED000 A AA

LIABILITIES........................................................ 80999S L AA
Direct investment...................................

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