Economic Information System (SIE)

(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
  2019 2019 2020 Change Change
    (A) (B) 2019 (B/A)
Current account (I - II) -4,341 -11,141 -982 -82.81 -91.19
     I. Credit (A + B + C + D) 543,331 128,848 128,212 3.10 -0.49
          A. Goods 461,039 108,176 108,601 2.21 0.39
               Exports of merchandise 460,704 108,095 108,522 2.22 0.39
               Goods procured in ports by carriers 336 81 79 -9.15 -3.04
          B. Services 31,683 8,728 7,815 9.20 -10.46
               Transport 2,933 653 741 33.65 13.47
               Travel 24,563 7,031 6,013 9.04 -14.47
               Insurance and pension services 3,122 742 834 -4.95 12.40
               Financial services 429 100 97 25.83 -3.04
               Other services 636 202 130 -4.58 -35.75
          C. Primary income 14,248 4,018 2,419 10.04 -39.79
               Reinvested earnings and dividends 5,935 1,875 1,015 13.51 -45.88
                    Reinvested earnings 5,271 1,374 1,012 17.17 -26.35
                    Dividends 664 500 2 -9.05 -99.52
               Interest 5,724 1,552 822 1.84 -47.04
               Other primary income 2,589 591 582 23.39 -1.39
          D. Secondary income 36,360 7,926 9,377 7.05 18.31
               Workers' remittances 36,046 7,852 9,297 7.03 18.41
               Other secondary income 315 74 80 8.94 8.12
     II. Debit (A + B + C + D) 547,672 139,989 129,194 -0.83 -7.71
          A. Goods 455,828 109,992 104,912 -1.94 -4.62
               Imports of merchandise 455,295 109,868 104,800 -1.94 -4.61
               Goods procured in ports by carriers 532 123 112 -2.76 -9.21
          B. Services 39,953 9,993 8,981 -0.62 -10.13
               Transport 14,794 3,568 3,166 -4.03 -11.26
               Travel 9,848 2,285 1,923 -12.30 -15.84
               Insurance and pension services 6,239 1,675 1,636 28.75 -2.32
               Financial services 3,853 1,074 851 -1.31 -20.71
               Other services 5,219 1,392 1,404 8.56 0.89
          C. Primary income 50,811 19,758 15,060 10.13 -23.78
               Reinvested earnings and dividends 24,306 14,401 9,507 5.69 -33.98
                    Reinvested earnings 17,722 13,193 7,865 35.07 -40.39
                    Dividends 6,585 1,208 1,642 -33.34 36.00
               Interest 26,490 5,354 5,547 14.55 3.60
                    Public sector 14,254 3,465 3,545 8.25 2.31
                    Private sector 12,236 1,889 2,002 22.89 5.95
               Other primary income 14 4 6 20.74 58.94
          D. Secondary income 1,081 246 242 -0.02 -1.57
               Workers' remittances 981 228 225 -1.86 -1.04
               Other secondary income 100 18 17 22.60 -8.11
Capital account (I - II) -56 -35 -8 -13.59 -77.25
     I. Credit 299 94 89 26.33 -5.85
     II. Debit 355 129 97 17.76 -25.00
Financial account (I + II + III + IV + V) [Net lending (+) / Net borrowing (-)] -14,941 -10,407 -3,455 -55.40 -66.81
     I. Direct investment (A - B) -23,591 -11,342 -9,061 -13.00 -20.11
          A. Net acquisition of financial assets 6,048 2,205 5,016 -47.97 127.52
               Equity and investment fund shares 8,683 2,005 1,363 -12.18 -32.04
                    Equity other than reinvestment of earnings 3,412 631 350 -36.67 -44.44
                    Reinvestment of earnings 5,271 1,374 1,012 17.17 -26.35
               Debt instruments -2,635 200 3,654 -251.61 1,730.27
          B. Net incurrence of liabilities 29,639 13,547 14,078 -23.50 3.92
               Equity and investment fund shares 30,814 15,775 10,137 20.12 -35.74
                    Equity other than reinvestment of earnings 13,093 2,581 2,272 4.46 -11.99
                    Reinvestment of earnings 17,722 13,193 7,865 35.07 -40.39
               Debt instruments -1,175 -2,228 3,941 -108.98 -276.89
     II. Portfolio investment (A - B) -6,027 -8,484 -3,147 -28.18 -62.91
          A. Net acquisition of financial assets 3,561 -210 -324 221.60 54.26
               Equity and investment fund shares 1,596 -747 1,512 -52.62 -302.49
               Debt securities 1,965 537 -1,835 -186.95 -441.91
          B. Net incurrence of liabilities 9,588 8,274 2,823 0.94 -65.88
               Equity and investment fund shares -10 2,160 -175 -100.42 -108.12
               Debt securities 9,598 6,114 2,999 35.61 -50.96
                    Banco de México 0 0 0 N/E N/E
                    Commercial banks 918 15 -438 29.19 -3,112.57
                         Short-term -18 88 -326 -102.00 -469.32
                         Long-term 936 -74 -112 -633.57 52.50
                    Development banks 0 0 0 N/E N/E
                         Short-term 0 0 0 N/E N/E
                         Long-term 0 0 0 N/E N/E
                    Non financial public sector 3,235 5,562 1,677 -69.72 -69.85
                         Short-term -2,157 442 -3,628 -2,023.88 -920.99
                              Bonds and notes issued abroad 0 0 0 N/E N/E
                              Bonds and notes issued in Mexico -2,157 442 -3,628 -2,023.88 -920.99
                         Long-term 5,392 5,120 5,305 -48.99 3.61
                              Bonds and notes issued abroad 1,913 683 7,202 -81.90 954.45
                              Bonds and notes issued in Mexico 3,479 4,437 -1,897 686,967.77 -142.75
                    Non banking private sector 5,445 537 1,760 -226.16 227.54
                         Short-term 253 -136 382 75.75 -381.07
                         Long-term 5,192 673 1,377 -216.41 104.55
                    Pidiregas 0 0 0 N/E N/E
     III. Financial derivatives (net transactions) 2,009 -65 1,878 448.24 -2,975.52
     IV. Other investment (A - B) 10,029 5,059 2,575 766.34 -49.10
          A. Net acquisition of financial assets 12,963 4,726 5,050 64.80 6.86
          B. Net incurrence of liabilities 2,934 -334 2,475 -56.26 -841.81
               Deposits 154 -770 90 -11.97 -111.68
                    Banco de México -35 -1 -1 280.16 -21.42
                    Commercial banks 189 -769 90 2.63 -111.76
                         Short-term 189 -769 91 -79.24 -111.77
                         Long-term 0 0 0 -100.00 -63.98
               Other 2,780 436 2,385 -57.44 446.45
                    Banco de México 0 0 0 N/E N/E
                    Commercial banks 2,422 -2,493 -524 -66.58 -78.98
                         Short-term 1,498 -3,054 -635 -79.85 -79.19
                         Long-term 924 561 111 -593.03 -80.16
                    Development banks -572 -408 -1,159 -193.24 184.13
                         Short-term -695 -347 -992 -223.25 186.29
                         Long-term 123 -61 -167 145.00 171.94
                    Non financial public sector 783 4,048 1,084 -158.01 -73.23
                         Short-term 94 3,781 748 162.57 -80.21
                         Long-term 689 267 335 -149.72 25.48
                    Non banking private sector 148 -711 2,984 525.85 -519.62
                         Short-term -1,572 -1,592 1,016 -214.52 -163.81
                         Long-term 1,720 881 1,968 -227.51 123.29
                    Pidiregas 0 0 0 N/E N/E
     V. Reserve assets 2,638 4,424 4,300 445.97 -2.80
          Total change in gross international reserves 6,644 5,687 6,752 611.14 18.73
          Valuation adjustments 4,005 1,263 2,452 788.10 94.15
Errors and omissions -10,544 768 -2,465 28.93 -420.81
Current account          
          Balance on goods and services -3,057 -3,081 2,523 -87.75 -181.90
               Balance on goods 5,212 -1,815 3,689 -137.86 -303.23
                    Oil trade balance -21,365 -4,693 -5,483 -7.64 16.82
                    Non-oil trade balance 26,773 2,920 9,205 180.57 215.22
                    Balance on goods procured in ports by carriers -197 -42 -33 10.52 -21.04
               Balance on services -8,269 -1,265 -1,166 -26.09 -7.87
          Balance on primary income -36,563 -15,741 -12,640 10.17 -19.70
          Balance on secondary income 35,279 7,680 9,135 7.28 18.95
Financial account          
          Financial account excluding reserve assets -17,579 -14,831 -7,755 -48.27 -47.71

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