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-Mar Percentage Percentage
  2017 2017 2018 Change Change
    (A) (B) 2017 (B/A)
Current account (I - II) -19,354 -10,384 -6,941 -17.01 -33.16
     I. Credit (A + B + C + D) 477,225 111,288 122,744 9.86 10.29
          A. Goods 409,775 94,831 105,330 9.48 11.07
               Exports of merchandise 409,401 94,709 105,242 9.48 11.12
               Goods procured in ports by carriers 374 122 88 4.69 -27.56
          B. Services 27,185 6,961 7,623 10.52 9.52
               Transport 1,904 438 525 19.13 19.79
               Travel 21,333 5,801 6,217 8.57 7.18
               Insurance and pension services 3,300 615 633 14.57 2.96
               Financial services 350 36 169 126.97 368.55
               Other services 299 71 80 -5.07 11.91
          C. Primary income 11,210 2,789 2,685 35.84 -3.75
               Reinvested earnings and dividends 5,565 1,496 969 72.33 -35.19
                    Reinvested earnings 4,477 1,332 964 105.84 -27.61
                    Dividends 1,088 164 5 3.19 -96.73
               Interest 3,795 909 1,247 14.25 37.11
               Other primary income 1,851 384 468 8.74 21.96
          D. Secondary income 29,056 6,707 7,106 6.60 5.94
               Workers' remittances 28,771 6,640 7,036 6.59 5.95
               Other secondary income 285 67 70 8.08 4.71
     II. Debit (A + B + C + D) 496,579 121,672 129,685 8.49 6.59
          A. Goods 420,765 97,570 107,144 8.62 9.81
               Imports of merchandise 420,369 97,480 107,019 8.60 9.79
               Goods procured in ports by carriers 395 91 126 29.86 38.87
          B. Services 36,970 9,066 9,301 10.42 2.59
               Transport 14,835 3,357 3,620 12.36 7.83
               Travel 10,828 2,277 2,606 5.10 14.42
               Insurance and pension services 4,496 1,133 1,149 5.64 1.44
               Financial services 2,173 719 902 20.10 25.36
               Other services 4,637 1,580 1,025 18.66 -35.13
          C. Primary income 37,884 14,818 12,929 4.79 -12.75
               Reinvested earnings and dividends 16,260 10,559 8,094 1.90 -23.34
                    Reinvested earnings 9,616 9,334 7,299 2.46 -21.80
                    Dividends 6,643 1,224 795 1.11 -35.07
               Interest 21,613 4,257 4,829 7.05 13.44
                    Public sector 13,151 2,720 3,172 2.40 16.60
                    Private sector 8,462 1,536 1,657 15.17 7.84
               Other primary income 11 2 6 104.88 139.54
          D. Secondary income 961 218 310 31.62 42.53
               Workers' remittances 761 159 214 16.45 34.84
               Other secondary income 200 59 96 161.09 63.25
Capital account (I - II) 150 -26 -24 283.09 -8.43
     I. Credit 450 62 60 39.40 -4.36
     II. Debit 300 88 83 5.77 -5.56
Financial account (I + II + III + IV + V) [Net lending (+) / Net borrowing (-)] -26,588 -64 -7,955 -16.15 12,316.89
     I. Direct investment (A - B) -25,610 -11,037 -6,951 -9.12 -37.02
          A. Net acquisition of financial assets 6,116 2,929 3,328 -7.26 13.60
               Equity and investment fund shares 8,652 2,110 2,862 6.41 35.60
                    Equity other than reinvestment of earnings 4,175 779 1,898 -29.90 143.74
                    Reinvestment of earnings 4,477 1,332 964 105.84 -27.61
               Debt instruments -2,536 819 466 65.09 -43.11
          B. Net incurrence of liabilities 31,726 13,966 10,278 -8.77 -26.41
               Equity and investment fund shares 21,198 12,060 8,669 3.72 -28.11
                    Equity other than reinvestment of earnings 11,582 2,726 1,370 4.80 -49.73
                    Reinvestment of earnings 9,616 9,334 7,299 2.46 -21.80
               Debt instruments 10,528 1,907 1,609 -26.57 -15.61
     II. Portfolio investment (A - B) -8,148 -5,610 -7,082 -73.91 26.25
          A. Net acquisition of financial assets 15,839 5,430 -115 -1,120.18 -102.11
               Equity and investment fund shares 13,346 4,838 2,057 -1,209.10 -57.49
               Debt securities 2,493 592 -2,171 -813.84 -466.73
          B. Net incurrence of liabilities 23,987 11,040 6,968 -19.16 -36.89
               Equity and investment fund shares 10,320 2,327 803 8.89 -65.48
               Debt securities 13,667 8,713 6,164 -32.32 -29.25
                    Banco de México 0 0 0 N/E N/E
                    Commercial banks -29 77 245 -304.28 218.93
                         Short-term -43 584 122 -91.63 -79.07
                         Long-term 14 -507 123 -97.29 -124.21
                    Development banks 222 90 0 -68.30 -100.00
                         Short-term 0 0 0 N/E N/E
                         Long-term 222 90 0 -68.30 -100.00
                    Non financial public sector 5,537 7,871 5,380 -73.28 -31.65
                         Short-term -2,992 -1,143 -1,133 -66.16 -0.92
                              Bonds and notes issued abroad 0 0 0 N/E N/E
                              Bonds and notes issued in Mexico -2,992 -1,143 -1,133 -66.16 -0.92
                         Long-term 8,528 9,015 6,513 -71.16 -27.76
                              Bonds and notes issued abroad 5,846 4,798 5,512 -73.67 14.87
                              Bonds and notes issued in Mexico 2,682 4,216 1,001 -63.58 -76.26
                    Non banking private sector 7,937 675 540 -737.76 -20.09
                         Short-term 1,017 602 131 369.28 -78.33
                         Long-term 6,920 73 409 -573.52 460.17
                    Pidiregas 0 0 0 N/E N/E
     III. Financial derivatives (net transactions) 3,950 681 334 -1,033.18 -50.89
     IV. Other investment (A - B) 7,984 15,774 3,616 -71.74 -77.08
          A. Net acquisition of financial assets 5,559 14,526 7,799 -77.55 -46.31
          B. Net incurrence of liabilities -2,425 -1,249 4,183 -30.65 -435.05
               Deposits -381 -475 177 -150.72 -137.26
                    Banco de México -13 -2 -2 2,011.77 30.18
                    Commercial banks -368 -473 180 -148.96 -137.92
                         Short-term -637 -485 218 -185.80 -145.02
                         Long-term 269 12 -39 2,625.46 -431.64
               Other -2,044 -773 4,006 -51.88 -618.06
                    Banco de México -4 -4 0 -201.22 -100.07
                    Commercial banks -3,609 207 3,564 28.20 1,625.95
                         Short-term -3,529 400 3,719 -0.02 829.19
                         Long-term -80 -194 -155 -111.20 -20.00
                    Development banks 617 29 -125 -497.62 -528.87
                         Short-term 141 54 -149 -311.23 -376.62
                         Long-term 476 -25 24 -638.46 -197.98
                    Non financial public sector 1,602 419 1,378 -165.77 228.52
                         Short-term -212 -34 -34 -29.90 -0.88
                         Long-term 1,814 454 1,411 -185.06 211.22
                    Non banking private sector -650 -1,424 -811 -156.35 -43.08
                         Short-term 2,614 476 -811 -284.48 -270.52
                         Long-term -3,264 -1,900 0 -226.98 -100.03
                    Pidiregas 0 0 0 N/E N/E
     V. Reserve assets -4,765 128 2,128 3,411.21 1,565.97
          Total change in gross international reserves -2,575 679 2,152 -701.25 217.04
          Valuation adjustments 2,190 551 23 288.30 -95.80
Errors and omissions -7,384 10,346 -990 -12.37 -109.57
Current account          
          Balance on goods and services -20,775 -4,845 -3,492 -5.35 -27.92
               Balance on goods -10,990 -2,739 -1,814 -15.89 -33.79
                    Oil trade balance -18,309 -4,372 -4,790 43.70 9.56
                    Non-oil trade balance 7,341 1,601 3,013 -2,046.25 88.22
                    Balance on goods procured in ports by carriers -22 31 -37 -141.54 -218.74
               Balance on services -9,785 -2,105 -1,678 10.16 -20.30
          Balance on primary income -26,675 -12,029 -10,245 -4.39 -14.83
          Balance on secondary income 28,095 6,490 6,796 5.91 4.71
Financial account          
          Financial account excluding reserve assets -21,823 -192 -10,083 -30.88 5,156.49