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-Jun Percentage Percentage
  2017 2017 2018 Change Change
    (A) (B) 2017 (B/A)
Current account (I - II) -19,451 -12,409 -12,645 -18.65 1.91
     I. Credit (A + B + C + D) 478,423 230,661 256,615 10.23 11.25
          A. Goods 409,775 197,585 219,265 9.48 10.97
               Exports of merchandise 409,401 197,366 219,084 9.48 11.00
               Goods procured in ports by carriers 374 219 181 4.69 -17.08
          B. Services 27,643 13,346 14,908 14.16 11.70
               Transport 1,904 882 1,112 19.13 26.14
               Travel 21,336 11,107 11,582 8.58 4.27
               Insurance and pension services 3,742 1,092 1,770 49.53 62.07
               Financial services 352 117 284 128.86 142.92
               Other services 308 149 161 -0.14 7.81
          C. Primary income 10,430 5,034 6,055 26.39 20.27
               Reinvested earnings and dividends 4,651 2,386 2,403 44.04 0.70
                    Reinvested earnings 3,572 1,919 2,275 64.26 18.56
                    Dividends 1,078 468 128 2.31 -72.59
               Interest 3,795 1,751 2,607 14.25 48.87
               Other primary income 1,984 896 1,044 16.59 16.52
          D. Secondary income 30,576 14,695 16,387 12.18 11.51
               Workers' remittances 30,291 14,560 16,244 12.22 11.57
               Other secondary income 285 136 143 8.26 5.42
     II. Debit (A + B + C + D) 497,874 243,069 269,261 8.72 10.78
          A. Goods 420,765 200,624 223,892 8.62 11.60
               Imports of merchandise 420,369 200,439 223,633 8.60 11.57
               Goods procured in ports by carriers 395 185 259 29.86 40.12
          B. Services 37,460 18,346 19,856 13.05 8.23
               Transport 14,834 6,895 7,499 12.35 8.75
               Travel 10,840 4,812 5,304 5.21 10.23
               Insurance and pension services 4,952 2,907 3,690 26.56 26.94
               Financial services 2,171 1,091 1,421 20.00 30.26
               Other services 4,662 2,641 1,943 19.31 -26.44
          C. Primary income 38,748 23,685 24,970 5.57 5.43
               Reinvested earnings and dividends 17,124 13,208 14,439 3.75 9.32
                    Reinvested earnings 10,461 10,574 10,372 5.30 -1.91
                    Dividends 6,663 2,634 4,067 1.42 54.42
               Interest 21,612 10,474 10,526 7.04 0.49
                    Public sector 13,151 6,900 6,782 2.40 -1.71
                    Private sector 8,461 3,574 3,744 15.14 4.73
               Other primary income 11 2 6 104.88 139.54
          D. Secondary income 902 415 542 23.53 30.57
               Workers' remittances 806 343 494 23.37 44.06
               Other secondary income 96 72 48 24.94 -33.50
Capital account (I - II) 150 -37 -35 283.09 -6.93
     I. Credit 450 97 97 39.40 -0.65
     II. Debit 300 135 131 5.77 -2.40
Financial account (I + II + III + IV + V) [Net lending (+) / Net borrowing (-)] -29,714 -5,988 -20,141 -8.05 236.36
     I. Direct investment (A - B) -28,742 -15,921 -14,800 -0.08 -7.04
          A. Net acquisition of financial assets 3,385 5,092 6,285 -49.13 23.45
               Equity and investment fund shares 5,969 3,937 5,201 -26.59 32.11
                    Equity other than reinvestment of earnings 2,397 2,018 2,926 -59.76 45.00
                    Reinvestment of earnings 3,572 1,919 2,275 64.26 18.56
               Debt instruments -2,585 1,155 1,085 74.96 -6.08
          B. Net incurrence of liabilities 32,127 21,013 21,085 -9.29 0.34
               Equity and investment fund shares 22,141 16,351 13,388 5.15 -18.12
                    Equity other than reinvestment of earnings 11,680 5,777 3,016 5.01 -47.78
                    Reinvestment of earnings 10,461 10,574 10,372 5.30 -1.91
               Debt instruments 9,986 4,662 7,697 -30.47 65.10
     II. Portfolio investment (A - B) -8,148 -3,352 -14,904 -73.91 344.66
          A. Net acquisition of financial assets 15,839 7,548 -1,556 -1,120.18 -120.61
               Equity and investment fund shares 13,346 8,425 -624 -1,209.10 -107.40
               Debt securities 2,493 -877 -932 -813.84 6.24
          B. Net incurrence of liabilities 23,987 10,900 13,348 -19.16 22.46
               Equity and investment fund shares 10,320 4,696 2,580 8.89 -45.07
               Debt securities 13,667 6,204 10,768 -32.32 73.57
                    Banco de México 0 0 0 N/E N/E
                    Commercial banks -29 67 224 -304.28 232.06
                         Short-term -43 522 315 -91.63 -39.68
                         Long-term 14 -455 -91 -97.29 -79.93
                    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 4,899 10,267 -73.28 109.57
                         Short-term -2,992 845 73 -66.16 -91.41
                              Bonds and notes issued abroad 0 0 0 N/E N/E
                              Bonds and notes issued in Mexico -2,992 845 73 -66.16 -91.41
                         Long-term 8,528 4,054 10,194 -71.16 151.48
                              Bonds and notes issued abroad 5,846 2,484 9,943 -73.67 300.29
                              Bonds and notes issued in Mexico 2,682 1,570 252 -63.58 -83.98
                    Non banking private sector 7,937 1,148 278 -737.86 -75.78
                         Short-term 1,017 867 131 368.85 -84.95
                         Long-term 6,920 281 148 -573.52 -47.49
                    Pidiregas 0 0 0 N/E N/E
     III. Financial derivatives (net transactions) 3,975 1,995 1,228 -988.67 -38.46
     IV. Other investment (A - B) 7,965 15,148 5,295 -71.81 -65.04
          A. Net acquisition of financial assets 5,540 16,027 9,741 -77.62 -39.22
          B. Net incurrence of liabilities -2,425 879 4,446 -30.65 405.89
               Deposits -381 -159 864 -150.72 -642.74
                    Banco de México -13 -5 -2 2,011.77 -60.56
                    Commercial banks -368 -154 865 -148.96 -660.16
                         Short-term -637 -202 999 -185.80 -595.82
                         Long-term 269 47 -134 2,625.46 -384.48
               Other -2,044 1,038 3,582 -51.88 245.12
                    Banco de México -4 -4 0 -201.22 -100.14
                    Commercial banks -3,609 -945 6,402 28.20 -777.67
                         Short-term -3,529 -919 6,468 -0.02 -803.67
                         Long-term -80 -26 -66 -111.20 157.08
                    Development banks 617 -302 -413 -497.62 36.89
                         Short-term 141 -408 -375 -311.23 -8.00
                         Long-term 476 106 -38 -638.46 -136.01
                    Non financial public sector 1,602 2,088 -1,811 -165.77 -186.76
                         Short-term -212 -80 -104 -29.90 29.23
                         Long-term 1,814 2,168 -1,707 -185.06 -178.75
                    Non banking private sector -650 201 -596 -156.35 -397.22
                         Short-term 2,614 1,607 -388 -284.48 -124.13
                         Long-term -3,264 -1,406 -209 -226.98 -85.17
                    Pidiregas 0 0 0 N/E N/E
     V. Reserve assets -4,765 -3,858 3,040 3,411.21 -178.79
          Total change in gross international reserves -2,575 -2,629 2,559 -701.25 -197.32
          Valuation adjustments 2,190 1,229 -481 288.30 -139.14
Errors and omissions -10,413 6,458 -7,461 23.32 -215.52
Current account          
          Balance on goods and services -20,807 -8,038 -9,575 -5.37 19.12
               Balance on goods -10,990 -3,039 -4,627 -15.89 52.26
                    Oil trade balance -18,309 -8,198 -10,286 43.70 25.47
                    Non-oil trade balance 7,341 5,125 5,737 -2,046.25 11.94
                    Balance on goods procured in ports by carriers -22 33 -78 -141.54 -333.18
               Balance on services -9,817 -4,999 -4,948 10.02 -1.03
          Balance on primary income -28,318 -18,651 -18,916 -0.46 1.42
          Balance on secondary income 29,674 14,280 15,846 11.86 10.96
Financial account          
          Financial account excluding reserve assets -24,949 -2,130 -23,181 -22.47 988.41

Note:
Data is provisional and subject to revision.