(CA410) -  Balance of Payments - BPM6 basis - (start date:2002)

Export:

Analysis:

My series (0)
Accessibility of Structures, exporting the structure to manipulate the data in XLS
 Balance of Payments - BPM6 basis - (start date:2002)
Millones de dólares

Item Annual Jan-Sep Percentage Percentage
  2021 2021 2022 Change Change
    (A) (B) 2021 (B/A)
Current account (I - II) -4,844 -7,660 -15,271 -117.87 99.36
     I. Credit (A + B + C + D) 584,455 424,022 515,283 20.36 21.52
          A. Goods 495,090 359,785 430,645 18.63 19.69
               Exports of merchandise 494,765 359,548 430,284 18.60 19.67
                      Merchandise excluding nonmonetary gold 489,569 355,572 426,666 18.79 19.99
                      Nonmonetary gold 5,195 3,975 3,618 2.77 -9.00
               Goods procured in ports by carriers 325 238 361 113.83 51.89
          B. Services 27,146 18,674 26,342 59.28 41.06
               Transport 2,405 1,669 2,112 23.93 26.58
                       Passenger 789 561 829 71.82 47.65
                       Freight 1,110 743 737 -6.14 -0.89
                      Other 506 364 547 69.38 50.18
               Travel 19,765 13,289 20,483 79.76 54.13
               Insurance and pension services 3,618 2,661 2,653 17.18 -0.33
               Financial services 574 422 508 26.81 20.26
               Other services 783 632 586 38.21 -7.27
          C. Primary income 9,820 7,575 14,795 5.40 95.31
               Reinvested earnings and dividends 5,909 4,907 8,330 16.28 69.76
                    Reinvested earnings 4,150 3,317 7,387 -9.02 122.72
                    Dividends 1,759 1,591 944 238.23 -40.66
               Interest 1,362 769 4,548 -30.43 491.57
              Compensation of employees 2,544 1,894 1,911 11.91 0.86
               Other primary income 5 5 6 12.82 23.77
          D. Secondary income 52,400 37,988 43,502 25.04 14.52
               Workers' remittances 51,586 37,350 42,978 27.04 15.07
               Other secondary income 814 638 524 -37.41 -17.86
     II. Debit (A + B + C + D) 589,299 431,682 530,554 28.53 22.90
          A. Goods 506,005 368,440 456,097 32.06 23.79
               Imports of merchandise 505,703 368,244 455,581 32.04 23.72
                       Merchandise excluding nonmonetary gold 505,568 368,147 455,467 32.04 23.72
                       Nonmonetary gold 135 97 114 32.25 17.36
               Goods procured in ports by carriers 302 196 516 61.84 163.71
          B. Services 38,747 28,529 36,676 36.98 28.56
               Transport 18,553 13,371 18,336 67.13 37.14
                       Passenger 1,652 1,114 1,728 115.83 55.17
                       Freight 16,437 11,934 16,183 63.73 35.60
                       Other 464 323 425 56.86 31.62
               Travel 5,111 3,435 4,956 47.11 44.28
               Insurance and pension services 6,599 5,334 5,360 18.66 0.48
               Financial services 2,633 2,135 2,151 4.35 0.74
               Other services 5,851 4,254 5,873 3.98 38.06
          C. Primary income 43,423 33,892 36,907 -5.73 8.89
               Reinvested earnings and dividends 21,115 17,693 19,930 -3.76 12.64
                    Reinvested earnings 12,607 13,126 14,052 -21.81 7.06
                    Dividends 8,508 4,567 5,878 46.31 28.70
               Interest 22,304 16,197 16,972 -7.50 4.78
                    Public sector 13,697 10,351 10,265 3.50 -0.83
                    Private sector 8,607 5,846 6,707 -20.87 14.72
               Other primary income 4 3 5 -67.07 97.02
          D. Secondary income 1,125 821 875 16.37 6.53
               Workers' remittances 1,057 770 820 17.63 6.54
               Other secondary income 68 51 54 -0.26 6.36
Capital account (I - II) -48 -35 -61 269.84 72.00
     I. Credit 220 176 196 -15.33 11.32
     II. Debit 268 211 257 -1.71 21.45
Financial account (I + II + III + IV + V) [Net lending (+) / Net borrowing (-)] -785 -1,517 -16,291 -103.68 973.90
  Net acquisition of financial assets (I + II + III + IV + V) 774 6,992 526 -94.08 -92.47
  Net incurrence of liabilities (I + II + III + IV)   1,559 8,509 16,817 -118.83 97.65
     I. Direct investment (A - B) -33,020 -25,330 -20,560 27.35 -18.83
          A. Net acquisition of financial assets 330 1,819 13,728 -94.08 654.62
               Equity and investment fund shares 707 5,427 11,155 -88.31 105.52
                    Equity other than reinvestment of earnings -3,443 2,111 3,768 -331.49 78.51
                    Reinvestment of earnings 4,150 3,317 7,387 -9.02 122.72
               Debt instruments -377 -3,608 2,573 -20.01 -171.30
          B. Net incurrence of liabilities 33,350 27,149 34,287 5.85 26.29
               Equity and investment fund shares 26,194 23,166 28,572 14.56 23.34
                    Equity other than reinvestment of earnings 13,588 10,040 14,520 101.56 44.62
                    Reinvestment of earnings 12,607 13,126 14,052 -21.81 7.06
               Debt instruments 7,156 3,984 5,715 -17.20 43.47
     II. Portfolio investment (A - B) 41,579 27,103 7,815 303.33 -71.17
          A. Net acquisition of financial assets 22,657 14,058 2,149 37.66 -84.71
               Equity and investment fund shares 14,639 9,225 1,926 10.55 -79.12
                     Banco de México 0 0 0 N/E N/E
                     Deposit-taking corporations -135 -123 169 -36.12 -237.43
                             Commercial banks -76 -63 94 -68.44 -247.59
                             Development banks -59 -59 75 -303.38 -226.59
                      General government 0 0 0 N/E N/E
                      Other sectors 14,774 9,348 1,758 9.82 -81.20
                             Other financial corporations 11,766 9,115 1,617 -12.60 -82.26
                             Nonfinancial corporations, households, and NPISHs 3,008 233 140 -31,240.54 -39.64
               Debt securities 8,017 4,833 223 149.32 -95.39
                     Banco de México 0 0 0 N/E N/E
                     Deposit-taking corporations 7,034 4,511 -2,546 84.44 -156.45
                             Commercial banks 7,036 4,519 -2,542 81.42 -156.25
                             Development banks -2 -9 -4 -96.82 -50.63
                      General government 0 0 0 N/E N/E
                      Other sectors 983 322 2,769 -264.42 759.87
                             Other financial corporations 1,495 833 1,742 -238.67 109.09
                             Nonfinancial corporations, households, and NPISHs -512 -511 1,027 -206.61 -300.76
          B. Net incurrence of liabilities -18,922 -13,045 -5,666 -407.73 -56.57
               Equity and investment fund shares -3,163 -3,978 -3,228 -1,798.46 -18.84
               Debt securities -15,759 -9,067 -2,437 -364.29 -73.12
                    Banco de México 0 0 0 N/E N/E
                    Deposit-taking corporations -152 -100 1,073 -120.65 -1,174.25
                    Commercial banks 48 100 1,155 -96.15 1,053.18
                         Short-term 1,141 5 2,116 -187.02 45,481.97
                         Long-term -1,093 96 -961 -142.89 -1,106.22
                    Development banks -200 -200 -82 -60.00 -58.80
                         Short-term 0 0 0 N/E N/E
                         Long-term -200 -200 -82 -60.00 -58.80
                    General government -9,326 -7,427 -1,087 262.37 -85.36
                         Short-term -1,926 -1,883 -253 -63.33 -86.55
                               Securities issued abroad 0 0 0 N/E N/E
                               Securities issued in Mexico -1,926 -1,883 -253 -63.33 -86.55
                                      Of which: broad-government securities -1,926 -1,883 -253 -63.33 -86.55
                         Long-term -7,400 -5,544 -834 -376.23 -84.96
                               Securities issued abroad 4,255 4,255 2,680 -46.98 -37.02
                               Securities issued in Mexico -11,655 -9,798 -3,513 118.00 -64.14
                                      Of which: broad-government securities -11,646 -9,790 -3,513 117.97 -64.12
                      Other sectors -6,281 -1,541 -2,423 -180.53 57.24
                            Other financial corporations 815 865 -144 22.68 -116.69
                                      Short-term 619 183 527 -420,002.05 187.96
                                      Long-term 196 682 -672 -70.57 -198.49
                            Nonfinancial corporations, households, and NPISHs -7,096 -2,406 -2,278 -199.46 -5.30
                                      State-owned enterprises -6,217 -2,172 -1,147 -272.37 -47.18
                                             Short-term 0 0 0 N/E N/E
                                             Long-term -6,217 -2,172 -1,147 -272.37 -47.18
                    Pidiregas 0 0 0 N/E N/E
                    Other -879 -234 -1,131 -124.92 383.78
                           Short-term 499 500 965 12.35 92.77
                           Long-term -1,378 -734 -2,096 -144.68 185.44
     III. Financial derivatives (A - B) 2,113 1,296 1,957 -217.40 50.99
       A. Net acquisition of financial assets -23,010 -17,998 -18,730 -47.74 4.07
          B. Net incurrence of liabilities -25,123 -19,295 -20,688 -40.51 7.22
     IV. Other investment (A - B) -21,745 -19,035 -6,679 -181.20 -64.91
          A. Net acquisition of financial assets -9,491 -5,336 2,204 -141.13 -141.30
                     Banco de México 11 13 -7 -163.12 -156.86
                     Deposit-taking corporations 4,799 10,485 11,189 101.29 6.72
                             Commercial banks 5,037 10,543 11,127 121.79 5.54
                             Development banks -238 -59 62 -311.18 -205.49
                      General government -1 9 6 -4.79 -33.86
                      Other sectors -14,300 -15,843 -8,984 -169.04 -43.30
                             Other financial corporations 631 2,016 636 -78.81 -68.44
                             Nonfinancial corporations, households, and NPISHs -14,931 -17,859 -9,620 -184.17 -46.13
                                     State-owned enterprises 463 1,138 42 -175.79 -96.33
                                     Other -15,394 -18,997 -9,662 -183.89 -49.14
          B. Net incurrence of liabilities 12,254 13,699 8,883 -431.09 -35.15
               Special drawing rights 12,145 12,145 0 N/E -100.00
               Currency and deposits -896 -671 821 148.83 -222.27
                    Banco de México -1,053 -947 -49 -491.36 -94.81
                    Commercial banks 157 275 870 -125.02 215.74
                         Short-term 57 175 865 -109.04 393.15
                         Long-term 100 100 5 -140,429.29 -95.15
                     Loans, trade credit and advances 2,458 3,016 8,468 -476.78 180.72
                          Deposit-taking corporations -1,228 -71 5,743 -64.21 -8,227.22
                                 Commercial banks -812 895 6,689 -73.37 647.06
                                         Short-term -735 1,079 6,894 -71.44 538.92
                                         Long-term -77 -184 -206 -83.83 11.97
                                  Development banks -416 -966 -946 8.55 -2.09
                                         Short-term 37 -591 -546 -106.04 -7.64
                                          Long-term -454 -375 -400 -294.22 6.68
                            General government 312 50 1,648 -77.78 3,228.69
                                   Short-term 0 0 0 N/E N/E
                                   Long-term 312 50 1,648 -77.78 3,228.69
                             Other sectors 3,375 3,037 1,077 145.03 -64.55
                                   Other financial corporations 93 -1 -2 -2,068.47 226.11
                                         Short-term 0 0 0 N/E N/E
                                          Long-term 93 -1 -2 -2,068.47 226.11
                                    Nonfinancial corporations, households, and NPISHs 3,281 3,038 1,079 137.43 -64.48
                                          State-owned enterprises 2,507 3,159 1,134 4.78 -64.11
                                                 Short-term 2,400 2,900 286 -23.32 -90.12
                                                 Long-term 107 259 847 -114.54 227.43
                    Pidiregas 0 0 0 N/E N/E
                    Other 774 -121 -55 -176.58 -54.62
                           Short-term 1,447 414 -1,027 431.80 -348.25
                           Long-term -672 -534 972 -47.59 -281.96
                    Other accounts payable -1,454 -792 -405 -45.94 -48.82
                           Commercial banks -1,454 -855 -468 -45.94 -45.21
                                 Short-term -1,454 -855 -468 -45.94 -45.21
                                 Long-term 0 0 0 N/E N/E
                            Other sectors 0 63 63 N/E 0.00
                                 Other financial corporations 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
                                  Nonfinancial corporations, households, and NPISHs 0 63 63 N/E 0.00
                                         State-owned enterprises 0 63 63 N/E 0.00
                                               Short-term 0 63 63 N/E 0.00
                                               Long-term 0 0 0 N/E N/E
                                          Other 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
     V. Reserve assets 10,288 14,449 1,176 -14.19 -91.86
          Total change in gross international reserves 8,689 12,946 -5,609 -45.79 -143.33
          Valuation adjustments -1,600 -1,503 -6,785 -139.61 351.57
Errors and omissions 4,107 6,178 -959 -171.58 -115.52
Current account          
          Balance on goods and services -22,516 -18,509 -35,786 -198.29 93.34
               Balance on goods -10,915 -8,654 -25,452 -131.96 194.10
                    Oil trade balance -24,635 -18,328 -28,140 79.13 53.54
                    Non-oil trade balance 13,696 9,632 2,843 -71.43 -70.49
                    Balance on goods procured in ports by carriers 24 42 -155 -169.26 -470.30
               Balance on services -11,601 -9,855 -10,334 3.19 4.86
          Balance on primary income -33,603 -26,317 -22,111 -8.55 -15.98
          Balance on secondary income 51,275 37,167 42,627 25.25 14.69
Financial account          
          Financial account excluding reserve assets -11,073 -15,966 -17,467 -218.30 9.40
          Public sector portfolio liabilities -15,743 -9,798 -2,317 -3,053.19 -76.36
          Private sector portfolio liabilities -3,179 -3,247 -3,349 -156.61 3.15
          Public sector other investment liabilities 13,495 13,504 1,850 266.63 -86.30
          Private sector other investment liabilities -1,240 195 7,033 -83.20 3,513.79
          Pidiregas liabilities 0 0 0 N/E N/E

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