Sistema de Información Económica

(CA410) - Balance of Payments - BPM6 basis - new format (start date:2006)
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 Balance of Payments - BPM6 basis - new format (start date:2006)
Millones de dólares

Item Annual Jan-Mar Percentage Percentage
  2018 2018 2019 Change Change
    (A) (B) 2018 (B/A)
Current account (I - II) -21,643 -9,799 -5,634 10.66 -42.50
     I. Credit (A + B + C + D) 526,097 123,219 128,037 9.90 3.91
          A. Goods 451,054 105,386 108,133 10.07 2.61
               Exports of merchandise 450,685 105,297 108,052 10.08 2.62
               Goods procured in ports by carriers 370 88 81 -1.11 -8.35
          B. Services 28,763 7,890 8,506 4.05 7.80
               Transport 2,185 526 643 14.73 22.32
               Travel 22,510 6,228 7,031 5.50 12.88
               Insurance and pension services 3,285 896 673 -12.21 -24.96
               Financial services 449 158 77 27.32 -51.10
               Other services 335 82 82 8.79 1.16
          C. Primary income 12,521 2,687 3,664 17.00 36.36
               Reinvested earnings and dividends 4,781 903 1,554 -2.76 72.11
                    Reinvested earnings 4,139 888 1,091 23.81 22.93
                    Dividends 642 15 462 -59.19 3,031.57
               Interest 5,641 1,282 1,519 48.46 18.56
               Other primary income 2,098 502 591 5.75 17.55
          D. Secondary income 33,759 7,257 7,734 10.41 6.58
               Workers' remittances 33,470 7,187 7,660 10.50 6.58
               Other secondary income 289 70 74 1.27 5.85
     II. Debit (A + B + C + D) 547,740 133,019 133,671 9.93 0.49
          A. Goods 464,850 107,151 109,992 10.47 2.65
               Imports of merchandise 464,302 107,025 109,868 10.44 2.66
               Goods procured in ports by carriers 547 126 123 38.46 -1.99
          B. Services 37,767 9,520 8,695 0.68 -8.67
               Transport 15,432 3,568 3,564 4.03 -0.12
               Travel 11,300 2,582 2,285 4.25 -11.51
               Insurance and pension services 4,846 1,449 1,296 -2.15 -10.56
               Financial services 2,249 890 500 3.57 -43.82
               Other services 3,940 1,032 1,051 -16.39 1.87
          C. Primary income 44,042 16,099 14,738 12.69 -8.45
               Reinvested earnings and dividends 21,304 11,284 9,408 20.98 -16.63
                    Reinvested earnings 12,066 10,240 8,476 11.34 -17.22
                    Dividends 9,239 1,044 931 36.39 -10.82
               Interest 22,726 4,809 5,327 5.90 10.77
                    Public sector 13,168 3,172 3,465 0.13 9.22
                    Private sector 9,557 1,637 1,862 15.02 13.75
               Other primary income 12 6 4 5.30 -38.07
          D. Secondary income 1,081 249 246 19.86 -1.29
               Workers' remittances 1,000 225 227 23.98 0.83
               Other secondary income 81 23 18 -14.89 -21.62
Capital account (I - II) -65 -24 -35 -143.13 45.08
     I. Credit 237 60 94 -47.41 58.54
     II. Debit 301 83 129 0.42 54.69
Financial account (I + II + III + IV + V) [Net lending (+) / Net borrowing (-)] -32,854 -10,194 -4,634 0.75 -54.54
     I. Direct investment (A - B) -26,414 -10,486 -8,308 -8.36 -20.77
          A. Net acquisition of financial assets 10,457 3,848 1,140 228.78 -70.37
               Equity and investment fund shares 9,241 3,126 1,509 51.45 -51.71
                    Equity other than reinvestment of earnings 5,102 2,238 418 84.92 -81.33
                    Reinvestment of earnings 4,139 888 1,091 23.81 22.93
               Debt instruments 1,216 722 -369 -141.61 -151.13
          B. Net incurrence of liabilities 36,871 14,334 9,448 15.20 -34.09
               Equity and investment fund shares 23,635 12,124 10,757 4.29 -11.27
                    Equity other than reinvestment of earnings 11,569 1,884 2,280 -2.16 21.03
                    Reinvestment of earnings 12,066 10,240 8,476 11.34 -17.22
               Debt instruments 13,236 2,211 -1,309 41.66 -159.20
     II. Portfolio investment (A - B) -9,979 -5,688 -5,151 -0.76 -9.43
          A. Net acquisition of financial assets -480 460 3,126 -103.44 579.32
               Equity and investment fund shares 1,092 2,739 2,199 -90.00 -19.74
               Debt securities -1,572 -2,279 927 -151.68 -140.69
          B. Net incurrence of liabilities 9,499 6,148 8,277 -60.44 34.64
               Equity and investment fund shares 2,421 835 2,163 -76.54 158.99
               Debt securities 7,077 5,313 6,114 -48.30 15.09
                    Banco de México 0 0 0 N/E N/E
                    Commercial banks 711 245 15 -2,554.91 -94.06
                         Short-term 886 122 88 -2,144.69 -27.80
                         Long-term -175 123 -74 -1,319.21 -160.03
                    Development banks 0 0 0 -100.00 N/E
                         Short-term 0 0 0 N/E N/E
                         Long-term 0 0 0 -100.00 N/E
                    Non financial public sector 10,683 4,533 5,562 92.95 22.70
                         Short-term 112 -1,979 442 -103.75 -122.33
                              Bonds and notes issued abroad 0 0 0 N/E N/E
                              Bonds and notes issued in Mexico 112 -1,979 442 -103.75 -122.33
                         Long-term 10,571 6,513 5,120 23.95 -21.38
                              Bonds and notes issued abroad 10,570 5,512 683 80.81 -87.61
                              Bonds and notes issued in Mexico 1 1,001 4,437 -99.98 343.31
                    Non banking private sector -4,316 534 537 -154.22 0.57
                         Short-term 144 130 -136 -54.81 -204.31
                         Long-term -4,460 404 673 -158.36 66.73
                    Pidiregas 0 0 0 N/E N/E
     III. Financial derivatives (net transactions) 408 137 -126 -86.73 -191.95
     IV. Other investment (A - B) 2,648 3,715 4,527 -66.74 21.86
          A. Net acquisition of financial assets 9,299 7,884 4,232 67.84 -46.32
          B. Net incurrence of liabilities 6,651 4,169 -294 -374.70 -107.06
               Deposits 119 173 -771 -131.34 -544.95
                    Banco de México -9 -2 -1 -28.78 -71.48
                    Commercial banks 129 176 -771 -134.94 -538.40
                         Short-term 854 218 -771 -234.17 -452.87
                         Long-term -726 -43 0 -370.20 -99.80
               Other 6,531 3,996 477 -420.15 -88.07
                    Banco de México 0 0 0 N/E N/E
                    Commercial banks 7,246 3,564 -2,427 -300.78 -168.09
                         Short-term 7,433 3,724 -2,519 -310.64 -167.65
                         Long-term -187 -159 92 134.14 -157.77
                    Development banks 614 -125 -408 -0.58 226.76
                         Short-term 564 -149 -347 299.36 132.39
                         Long-term 50 24 -61 -89.50 -352.26
                    Non financial public sector -1,349 1,378 4,048 -184.24 193.89
                         Short-term 36 -34 3,781 -116.87 -11,253.69
                         Long-term -1,385 1,411 267 -176.36 -81.06
                    Non banking private sector 21 -821 -737 -103.30 -10.28
                         Short-term 1,372 -812 -1,618 -47.51 99.37
                         Long-term -1,351 -10 881 -58.62 -9,245.56
                    Pidiregas 0 0 0 N/E N/E
     V. Reserve assets 483 2,128 4,424 -110.14 107.87
          Total change in gross international reserves 934 2,152 5,687 -136.28 164.33
          Valuation adjustments 451 23 1,263 -79.41 5,358.69
Errors and omissions -11,146 -371 1,035 -15.56 -378.53
Current account          
          Balance on goods and services -22,800 -3,395 -2,048 9.34 -39.68
               Balance on goods -13,796 -1,765 -1,859 25.60 5.31
                    Oil trade balance -23,160 -4,706 -4,737 26.66 0.65
                    Non-oil trade balance 9,543 2,978 2,920 30.31 -1.95
                    Balance on goods procured in ports by carriers -178 -37 -42 717.50 13.05
               Balance on services -9,004 -1,630 -189 -8.75 -88.39
          Balance on primary income -31,521 -13,412 -11,075 11.07 -17.43
          Balance on secondary income 32,678 7,008 7,489 10.12 6.86
Financial account          
          Financial account excluding reserve assets -33,337 -12,323 -9,058 19.73 -26.49

Note:
Data is provisional and subject to revision.
Totals may not add up due to rounding.