(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
  2020 2020 2021 Change Change
    (A) (B) 2020 (B/A)
Current account (I - II) 25,953 -7,502 -5,135 -787.04 -31.54
     I. Credit (A + B + C + D) 484,458 128,291 130,044 -11.03 1.37
          A. Goods 417,151 108,403 111,899 -9.50 3.23
               Exports of merchandise 416,999 108,325 111,864 -9.47 3.27
               Goods procured in ports by carriers 152 79 36 -54.69 -54.79
          B. Services 17,057 7,823 4,450 -46.19 -43.12
               Transport 1,934 751 499 -34.14 -33.58
               Travel 11,025 6,013 2,967 -55.13 -50.65
               Insurance and pension services 3,087 831 688 -1.03 -17.17
               Financial services 453 97 125 5.36 28.32
               Other services 557 131 171 -12.36 30.43
          C. Primary income 9,213 2,553 3,018 -36.98 18.23
               Reinvested earnings and dividends 5,016 1,104 2,270 -19.91 105.64
                    Reinvested earnings 4,496 956 1,675 -16.91 75.20
                    Dividends 520 148 595 -38.95 302.41
               Interest 1,919 866 165 -66.73 -80.99
               Other primary income 2,278 583 583 -12.02 0.06
          D. Secondary income 41,036 9,512 10,677 10.07 12.24
               Workers' remittances 40,601 9,398 10,615 11.42 12.96
               Other secondary income 435 115 62 -48.37 -46.31
     II. Debit (A + B + C + D) 458,505 135,793 135,180 -16.38 -0.45
          A. Goods 383,172 104,885 113,419 -15.93 8.14
               Imports of merchandise 382,986 104,773 113,371 -15.87 8.21
               Goods procured in ports by carriers 186 112 47 -64.88 -57.49
          B. Services 28,259 9,102 8,536 -29.31 -6.22
               Transport 11,110 3,181 4,073 -24.81 28.05
               Travel 3,581 1,923 802 -63.76 -58.27
               Insurance and pension services 5,532 1,650 1,694 -11.46 2.69
               Financial services 2,619 853 879 -32.02 3.11
               Other services 5,417 1,495 1,087 3.80 -27.34
          C. Primary income 46,107 21,564 12,994 -10.44 -39.74
               Reinvested earnings and dividends 21,688 16,012 7,652 -13.18 -52.21
                    Reinvested earnings 16,065 14,337 7,025 -10.75 -51.00
                    Dividends 5,623 1,675 627 -19.45 -62.60
               Interest 24,406 5,546 5,341 -7.87 -3.69
                    Public sector 13,234 3,545 3,683 -7.15 3.88
                    Private sector 11,172 2,001 1,658 -8.70 -17.11
               Other primary income 13 6 1 -5.79 -76.92
          D. Secondary income 967 242 231 -10.56 -4.64
               Workers' remittances 899 225 214 -8.41 -4.97
               Other secondary income 68 17 17 -31.73 -0.25
Capital account (I - II) -13 -10 -6 -76.69 -37.90
     I. Credit 260 86 60 -13.09 -30.69
     II. Debit 273 97 66 -23.10 -31.47
Financial account (I + II + III + IV + V) [Net lending (+) / Net borrowing (-)] 18,652 -9,471 -4,929 -218.02 -47.96
     I. Direct investment (A - B) -25,128 -16,159 -10,468 7.23 -35.21
          A. Net acquisition of financial assets 6,237 5,531 1,440 4.12 -73.97
               Equity and investment fund shares 6,675 1,313 2,315 -24.92 76.31
                    Equity other than reinvestment of earnings 2,180 357 640 -37.37 79.27
                    Reinvestment of earnings 4,496 956 1,675 -16.91 75.20
               Debt instruments -438 4,218 -876 -84.89 -120.76
          B. Net incurrence of liabilities 31,365 21,690 11,908 6.60 -45.10
               Equity and investment fund shares 22,687 16,950 9,235 -27.35 -45.52
                    Equity other than reinvestment of earnings 6,622 2,613 2,209 -49.94 -15.46
                    Reinvestment of earnings 16,065 14,337 7,025 -10.75 -51.00
               Debt instruments 8,679 4,740 2,674 -581.11 -43.59
     II. Portfolio investment (A - B) 11,029 -2,432 5,090 -281.72 -309.34
          A. Net acquisition of financial assets 17,143 392 3,960 387.28 911.01
               Equity and investment fund shares 13,031 2,313 2,799 389.26 20.99
               Debt securities 4,112 -1,922 1,161 381.12 -160.41
          B. Net incurrence of liabilities 6,114 2,823 -1,131 -36.23 -140.05
               Equity and investment fund shares 186 -175 824 -1,947.66 -570.21
               Debt securities 5,928 2,999 -1,955 -38.23 -165.20
                    Banco de México 0 0 0 N/E N/E
                    Commercial banks 1,237 -438 49 34.81 -111.11
                         Short-term -112 -326 -40 532.07 -87.80
                         Long-term 1,350 -112 88 44.24 -178.70
                    Development banks -500 0 0 N/E N/E
                         Short-term 0 0 0 N/E N/E
                         Long-term -500 0 0 N/E N/E
                    Non financial public sector 760 1,677 -1,775 -76.51 -205.84
                         Short-term -5,252 -3,628 -691 143.50 -80.95
                              Bonds and notes issued abroad 0 0 0 N/E N/E
                              Bonds and notes issued in Mexico -5,252 -3,628 -691 143.50 -80.95
                         Long-term 6,012 5,305 -1,084 11.51 -120.43
                              Bonds and notes issued abroad 11,355 7,202 4,075 493.55 -43.41
                              Bonds and notes issued in Mexico -5,343 -1,897 -5,159 -253.59 171.99
                    Non banking private sector 4,431 1,760 -229 -18.63 -112.99
                         Short-term 444 382 680 75.49 77.90
                         Long-term 3,987 1,377 -909 -23.21 -165.99
                    Pidiregas 0 0 0 N/E N/E
     III. Financial derivatives (net transactions) -1,800 1,823 558 -207.63 -69.37
     IV. Other investment (A - B) 22,561 2,996 -1,921 140.32 -164.10
          A. Net acquisition of financial assets 19,034 5,395 -542 46.83 -110.05
          B. Net incurrence of liabilities -3,527 2,399 1,379 -198.65 -42.53
               Deposits -360 92 -468 -333.97 -609.28
                    Banco de México 269 -1 -683 -870.29 125,261.74
                    Commercial banks -629 92 215 -433.21 132.81
                         Short-term -629 92 215 -433.12 132.73
                         Long-term 0 0 0 137.43 -100.00
               Other -3,167 2,307 1,846 -192.57 -19.95
                    Banco de México 0 0 0 N/E N/E
                    Commercial banks -5,634 -431 441 -332.66 -202.27
                         Short-term -5,158 -553 406 -444.42 -173.49
                         Long-term -476 121 35 -151.51 -71.16
                    Development banks -384 -1,159 -323 -32.94 -72.12
                         Short-term -617 -992 -277 -11.13 -72.06
                         Long-term 234 -167 -46 90.69 -72.47
                    Non financial public sector 3,795 1,084 3,815 384.90 252.03
                         Short-term 3,130 748 2,523 3,229.79 237.25
                         Long-term 665 335 1,291 -3.40 285.00
                    Non banking private sector -945 2,813 -2,086 -219.72 -174.15
                         Short-term 343 845 -1,148 -136.85 -235.81
                         Long-term -1,288 1,968 -938 -174.87 -147.67
                    Pidiregas 0 0 0 N/E N/E
     V. Reserve assets 11,990 4,300 1,812 354.49 -57.87
          Total change in gross international reserves 16,029 6,752 245 141.26 -96.37
          Valuation adjustments 4,039 2,452 -1,566 0.83 -163.88
Errors and omissions -7,288 -1,958 213 -39.12 -110.89
Current account          
          Balance on goods and services 22,777 2,240 -5,605 -831.49 -350.27
               Balance on goods 33,979 3,518 -1,519 557.58 -143.19
                    Oil trade balance -13,924 -5,651 -6,755 -34.97 19.54
                    Non-oil trade balance 47,938 9,202 5,248 79.04 -42.97
                    Balance on goods procured in ports by carriers -34 -33 -12 -82.43 -63.92
               Balance on services -11,202 -1,279 -4,085 35.27 219.49
          Balance on primary income -36,894 -19,011 -9,976 0.08 -47.52
          Balance on secondary income 40,069 9,270 10,446 10.69 12.68
Financial account          
          Financial account excluding reserve assets 6,662 -13,771 -6,740 -136.12 -51.06

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