Balance of payments   >   (CA410) - Balance of Payments - BPM6 basis - new format (start date:2006)
  Balance of payments     (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-Sep Percentage Percentage
  2016 2016 2017 Change Change
    (A) (B) 2016 (B/A)
Current account (I - II) -22,650 -20,286 -13,744 -23.19 -32.25
     I. Credit (A + B + C + D) 434,946 318,628 349,761 -0.41 9.77
          A. Goods 374,296 274,071 299,583 -1.75 9.31
               Exports of merchandise 373,939 273,812 299,288 -1.74 9.30
               Goods procured in ports by carriers 357 259 295 -16.29 14.19
          B. Services 24,597 18,224 19,837 7.40 8.85
               Transport 1,598 1,243 1,373 11.94 10.47
               Travel 19,650 14,552 15,954 10.80 9.64
               Insurance and pension services 2,880 2,089 2,113 -9.19 1.16
               Financial services 154 116 184 12.02 58.69
               Other services 315 225 213 -27.20 -5.27
          C. Primary income 8,796 6,077 8,864 12.35 45.87
               Reinvested earnings and dividends 3,229 1,976 4,205 -8.89 112.77
                    Reinvested earnings 2,175 1,389 3,126 13.16 125.13
                    Dividends 1,054 588 1,079 -35.01 83.58
               Interest 3,865 2,838 3,324 36.42 17.12
               Other primary income 1,702 1,262 1,335 17.25 5.75
          D. Secondary income 27,257 20,256 21,476 8.87 6.02
               Workers' remittances 26,993 20,060 21,266 8.91 6.01
               Other secondary income 263 197 210 4.86 6.71
     II. Debit (A + B + C + D) 457,596 338,915 363,505 -1.85 7.26
          A. Goods 387,369 286,322 308,629 -2.07 7.79
               Imports of merchandise 387,064 286,102 308,339 -2.07 7.77
               Goods procured in ports by carriers 304 220 290 -10.72 32.06
          B. Services 33,549 24,721 27,595 2.73 11.62
               Transport 13,203 9,697 10,870 3.04 12.10
               Travel 10,303 7,387 7,683 2.03 4.01
               Insurance and pension services 4,256 3,523 3,675 -1.90 4.32
               Financial services 1,879 1,307 1,697 37.73 29.80
               Other services 3,908 2,808 3,670 -3.33 30.72
          C. Primary income 35,948 27,337 26,634 -3.10 -2.57
               Reinvested earnings and dividends 15,742 13,227 11,302 -7.61 -14.55
                    Reinvested earnings 9,171 9,402 8,342 -21.13 -11.27
                    Dividends 6,570 3,825 2,960 21.44 -22.61
               Interest 20,201 14,108 15,327 0.72 8.64
                    Public sector 12,843 8,846 9,409 -1.27 6.37
                    Private sector 7,358 5,262 5,918 4.39 12.46
               Other primary income 5 3 5 104.86 70.96
          D. Secondary income 730 535 647 -19.35 20.95
               Workers' remittances 654 473 560 -19.38 18.34
               Other secondary income 77 62 87 -19.08 41.02
Capital account (I - II) 4 12 -6 -104.73 -152.05
     I. Credit 288 250 243 39.09 -2.79
     II. Debit 284 238 249 -3.56 4.71
Financial account (I + II + III + IV + V) [Net lending (+) / Net borrowing (-)] -32,868 -24,300 -20,159 -18.79 -17.04
     I. Direct investment (A - B) -27,801 -22,478 -18,042 14.33 -19.74
          A. Net acquisition of financial assets 6,614 3,926 5,283 -45.43 34.55
               Equity and investment fund shares 8,131 5,505 6,777 5.53 23.11
                    Equity other than reinvestment of earnings 5,956 4,116 3,651 2.99 -11.31
                    Reinvestment of earnings 2,175 1,389 3,126 13.16 125.13
               Debt instruments -1,517 -1,579 -1,494 -134.36 -5.36
          B. Net incurrence of liabilities 34,415 26,404 23,325 -5.55 -11.66
               Equity and investment fund shares 20,055 16,380 17,103 -20.63 4.41
                    Equity other than reinvestment of earnings 10,884 6,978 8,760 -20.21 25.54
                    Reinvestment of earnings 9,171 9,402 8,342 -21.13 -11.27
               Debt instruments 14,360 10,024 6,222 28.58 -37.93
     II. Portfolio investment (A - B) -32,091 -21,273 -17,680 36.04 -16.89
          A. Net acquisition of financial assets -2,500 -2,169 2,096 -19.23 -196.63
               Equity and investment fund shares -4,021 -2,880 -1,746 9.76 -39.36
               Debt securities 1,522 711 3,842 167.37 440.52
          B. Net incurrence of liabilities 29,591 19,104 19,776 44.39 3.52
               Equity and investment fund shares 9,477 7,296 6,462 163.17 -11.42
               Debt securities 20,114 11,808 13,314 19.07 12.75
                    Banco de México 0 0 0 N/E N/E
                    Commercial banks 1 -12 158 -67.50 -1,457.22
                         Short-term -518 -552 610 -150.08 -210.37
                         Long-term 519 541 -452 -150.43 -183.54
                    Development banks 700 700 90 -53.33 -87.19
                         Short-term 0 0 0 N/E N/E
                         Long-term 700 700 90 -53.33 -87.19
                    Non financial public sector 20,724 10,073 7,450 34.38 -26.04
                         Short-term -8,841 -8,902 -2,716 -15.35 -69.49
                              Bonds and notes issued abroad 0 0 0 N/E N/E
                              Bonds and notes issued in Mexico -8,841 -8,902 -2,716 -15.35 -69.49
                         Long-term 29,566 18,976 10,167 14.30 -46.42
                              Bonds and notes issued abroad 22,202 15,675 5,676 56.76 -63.79
                              Bonds and notes issued in Mexico 7,364 3,301 4,491 -37.08 36.05
                    Non banking private sector -1,312 1,047 5,616 3,768.14 436.55
                         Short-term 217 217 1,036 -322.81 377.47
                         Long-term -1,529 830 4,580 -2,512.36 452.01
                    Pidiregas 0 0 0 N/E N/E
     III. Financial derivatives (net transactions) -398 652 4,303 -91.71 560.37
     IV. Other investment (A - B) 27,557 18,124 16,311 -1.24 -10.00
          A. Net acquisition of financial assets 25,880 25,104 19,649 -2.39 -21.73
          B. Net incurrence of liabilities -1,677 6,980 3,338 20.59 -52.18
               Deposits 1,059 1,741 -478 -132.31 -127.45
                    Banco de México -1 -1 -8 -88.64 765.90
                    Commercial banks 1,060 1,742 -470 -132.46 -126.97
                         Short-term 1,050 1,713 -620 -133.66 -136.21
                         Long-term 11 29 151 -107.29 423.04
               Other -2,737 5,239 3,816 -245.02 -27.17
                    Banco de México -118 29 197 -34.37 584.28
                    Commercial banks -1,029 1,160 -1,470 -198.80 -226.76
                         Short-term -1,744 423 -1,445 -283.28 -441.39
                         Long-term 715 737 -26 689.95 -103.50
                    Development banks -155 -194 -447 -76.14 130.68
                         Short-term -67 209 -692 -92.30 -430.48
                         Long-term -88 -403 245 -140.79 -160.83
                    Non financial public sector -2,435 3,557 3,185 -350.91 -10.46
                         Short-term -303 -257 -146 56.68 -43.30
                         Long-term -2,133 3,813 3,330 -283.24 -12.67
                    Non banking private sector 1,001 688 2,351 42.07 241.99
                         Short-term -1,417 -2,312 1,249 -256.59 -154.03
                         Long-term 2,418 3,000 1,102 -1,308.28 -63.25
                    Pidiregas 0 0 0 N/E N/E
     V. Reserve assets -136 675 -5,051 -99.13 -848.37
          Total change in gross international reserves 428 2,902 -3,136 -102.37 -208.07
          Valuation adjustments 564 2,227 1,915 -123.32 -13.99
Errors and omissions -10,222 -4,026 -6,409 -6.22 59.20
Current account          
          Balance on goods and services -22,025 -18,747 -16,803 -9.55 -10.37
               Balance on goods -13,073 -12,251 -9,046 -10.44 -26.16
                    Oil trade balance -12,748 -8,966 -13,314 25.13 48.49
                    Non-oil trade balance -377 -3,323 4,263 -91.61 -228.28
                    Balance on goods procured in ports by carriers 52 39 5 -38.57 -86.29
               Balance on services -8,952 -6,497 -7,757 -8.22 19.40
          Balance on primary income -27,152 -21,261 -17,770 -7.23 -16.42
          Balance on secondary income 26,527 19,722 20,829 9.93 5.61
Financial account          
          Financial account excluding reserve assets -32,733 -24,975 -15,108 31.94 -39.51