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

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 Balance of Payments - BPM6 basis - (start date:2002)
Millions of U.S. Dollars

Item Jan-Mar Jan-Mar Percentage Change
  2022 2023 2023 2024
  (A) (B) (C) (D) (B/A) (D/C)
Current account (I - II) -20,598 -12,582 -20,598 -12,582 -38.92 -38.92
     I. Credit (A + B + C + D) 175,326 179,795 175,326 179,795 2.55 2.55
          A. Goods 141,166 143,663 141,166 143,663 1.77 1.77
               Exports of merchandise 141,065 143,526 141,065 143,526 1.74 1.74
                      Merchandise excluding nonmonetary gold 139,815 142,399 139,815 142,399 1.85 1.85
                      Nonmonetary gold 1,250 1,127 1,250 1,127 -9.83 -9.83
               Goods procured in ports by carriers 101 137 101 137 36.12 36.12
          B. Services 15,116 16,355 15,116 16,355 8.19 8.19
              Maintenance and repair services 94 169 94 169 79.86 79.86
               Transport 2,164 2,447 2,164 2,447 13.09 13.09
                       Passenger 754 789 754 789 4.55 4.55
                       Freight 809 896 809 896 10.81 10.81
                      Other 601 762 601 762 26.86 26.86
               Travel 8,941 9,807 8,941 9,807 9.68 9.68
               Insurance and pension services 1,018 926 1,018 926 -9.01 -9.01
               Financial services 147 169 147 169 15.20 15.20
                      Explicitly charged and other financial services 122 120 122 120 -1.76 -1.76
                      Financial intermediation services indirectly measured (FISIM) 25 49 25 49 97.75 97.75
              Charges for the use of intellectual property 96 145 96 145 52.00 52.00
              Telecommunications, computer, and information services 325 353 325 353 8.56 8.56
              Other business services 2,089 2,096 2,089 2,096 0.33 0.33
                      Research and development services 416 340 416 340 -18.22 -18.22
                      Professional and management consulting services 1,633 1,726 1,633 1,726 5.68 5.68
                      Technical, trade-related, and other business services 40 30 40 30 -25.26 -25.26
              Personal, cultural, and recreational services 190 190 190 190 0.00 0.00
              Government goods and services 52 52 52 52 -0.70 -0.70
          C. Primary income 4,873 5,522 4,873 5,522 13.32 13.32
               Reinvested earnings and dividends 1,997 2,096 1,997 2,096 4.92 4.92
                    Reinvested earnings 1,803 2,023 1,803 2,023 12.20 12.20
                    Dividends 194 72 194 72 -62.76 -62.76
               Interest 2,289 2,677 2,289 2,677 16.97 16.97
              Compensation of employees 584 746 584 746 27.75 27.75
               Other primary income 2 2 2 2 1.28 1.28
          D. Secondary income 14,170 14,256 14,170 14,256 0.60 0.60
               Workers' remittances 13,972 14,083 13,972 14,083 0.79 0.79
               Other secondary income 198 173 198 173 -12.60 -12.60
     II. Debit (A + B + C + D) 195,923 192,377 195,923 192,377 -1.81 -1.81
          A. Goods 146,049 146,408 146,049 146,408 0.25 0.25
               Imports of merchandise 145,883 146,232 145,883 146,232 0.24 0.24
                       Merchandise excluding nonmonetary gold 145,846 146,189 145,846 146,189 0.24 0.24
                       Nonmonetary gold 37 42 37 42 15.16 15.16
               Goods procured in ports by carriers 165 176 165 176 6.39 6.39
          B. Services 19,479 16,710 19,479 16,710 -14.21 -14.21
              Maintenance and repair services 149 97 149 97 -34.72 -34.72
               Transport 6,948 5,885 6,948 5,885 -15.31 -15.31
                       Passenger 731 1,066 731 1,066 45.87 45.87
                       Freight 6,074 4,674 6,074 4,674 -23.05 -23.05
                       Other 143 145 143 145 0.77 0.77
               Travel 1,771 2,215 1,771 2,215 25.08 25.08
               Insurance and pension services 2,701 2,063 2,701 2,063 -23.61 -23.61
                      Direct insurance 99 87 99 87 -12.49 -12.49
                      Reinsurance 2,602 1,977 2,602 1,977 -24.03 -24.03
               Financial services 1,277 1,006 1,277 1,006 -21.21 -21.21
                      Explicitly charged and other financial services 1,147 842 1,147 842 -26.61 -26.61
                      Financial intermediation services indirectly measured (FISIM) 130 164 130 164 26.60 26.60
              Charges for the use of intellectual property 1,375 1,912 1,375 1,912 39.09 39.09
              Telecommunications, computer, and information services 1,814 1,151 1,814 1,151 -36.54 -36.54
              Other business services 3,001 1,998 3,001 1,998 -33.42 -33.42
                      Research and development services 17 5 17 5 -72.84 -72.84
                      Professional and management consulting services 1,887 1,350 1,887 1,350 -28.46 -28.46
                      Technical, trade-related, and other business services 1,097 644 1,097 644 -41.32 -41.32
              Personal, cultural, and recreational services 252 182 252 182 -27.59 -27.59
              Government goods and services 192 201 192 201 4.62 4.62
          C. Primary income 30,113 28,901 30,113 28,901 -4.03 -4.03
               Reinvested earnings and dividends 23,812 22,126 23,812 22,126 -7.08 -7.08
                    Reinvested earnings 21,801 19,615 21,801 19,615 -10.03 -10.03
                    Dividends 2,011 2,511 2,011 2,511 24.87 24.87
               Interest 6,293 6,773 6,293 6,773 7.62 7.62
                    Public sector 4,404 4,524 4,404 4,524 2.72 2.72
                    Private sector 1,890 2,250 1,890 2,250 19.04 19.04
               Other primary income 7 2 7 2 -75.69 -75.69
          D. Secondary income 283 358 283 358 26.66 26.66
               Workers' remittances 259 340 259 340 31.45 31.45
               Other secondary income 24 18 24 18 -25.66 -25.66
Capital account (I - II) 92 -12 92 -12 -113.45 -113.45
     I. Credit 176 99 176 99 -43.38 -43.38
     II. Debit 83 112 83 112 34.45 34.45
Financial account (I + II + III + IV + V) [Net lending (+) / Net borrowing (-)] -17,471 -20,356 -17,471 -20,356 16.52 16.52
  Net acquisition of financial assets (I + II + III + IV + V) -5,986 3,273 -5,986 3,273 -154.68 -154.68
  Net incurrence of liabilities (I + II + III + IV)   11,485 23,629 11,485 23,629 105.75 105.75
     I. Direct investment (A - B) -24,463 -19,155 -24,463 -19,155 -21.70 -21.70
          A. Net acquisition of financial assets -1,813 481 -1,813 481 -126.56 -126.56
               Equity and investment fund shares -939 2,167 -939 2,167 NM NM
                    Equity other than reinvestment of earnings -2,743 144 -2,743 144 -105.24 -105.24
                    Reinvestment of earnings 1,803 2,023 1,803 2,023 12.20 12.20
               Debt instruments -874 -1,686 -874 -1,686 92.96 92.96
          B. Net incurrence of liabilities 22,651 19,636 22,651 19,636 -13.31 -13.31
               Equity and investment fund shares 23,421 20,214 23,421 20,214 -13.69 -13.69
                    Equity other than reinvestment of earnings 1,620 599 1,620 599 -63.00 -63.00
                    Reinvestment of earnings 21,801 19,615 21,801 19,615 -10.03 -10.03
               Debt instruments -770 -578 -770 -578 -25.00 -25.00
     II. Portfolio investment (A - B) -1,688 -8,928 -1,688 -8,928 NM NM
          A. Net acquisition of financial assets -206 920 -206 920 NM NM
               Equity and investment fund shares -3,706 3,838 -3,706 3,838 NM NM
                     Banco de México 0 0 0 0 N/E N/E
                     Deposit-taking corporations 98 -259 98 -259 NM NM
                             Commercial banks -50 -2 -50 -2 -96.43 -96.43
                             Development banks 148 -257 148 -257 NM NM
                      General government 0 0 0 0 N/E N/E
                      Other sectors -3,804 4,097 -3,804 4,097 NM NM
                             Other financial corporations -4,235 4,230 -4,235 4,230 -199.89 -199.89
                             Nonfinancial corporations, households, and NPISHs 431 -133 431 -133 -130.97 -130.97
               Debt securities 3,501 -2,917 3,501 -2,917 -183.33 -183.33
                     Banco de México 0 0 0 0 N/E N/E
                     Deposit-taking corporations 2,121 -2,797 2,121 -2,797 NM NM
                             Commercial banks 2,094 -2,770 2,094 -2,770 NM NM
                             Development banks 27 -27 27 -27 -199.37 -199.37
                      General government 0 0 0 0 N/E N/E
                      Other sectors 1,380 -120 1,380 -120 -108.72 -108.72
                             Other financial corporations 453 -85 453 -85 -118.73 -118.73
                             Nonfinancial corporations, households, and NPISHs 928 -36 928 -36 -103.84 -103.84
          B. Net incurrence of liabilities 1,483 9,848 1,483 9,848 NM NM
               Equity and investment fund shares -591 965 -591 965 NM NM
               Debt securities 2,073 8,883 2,073 8,883 NM NM
                    Banco de México 0 0 0 0 N/E N/E
                    Deposit-taking corporations -226 1,964 -226 1,964 NM NM
                    Commercial banks -110 1,964 -110 1,964 NM NM
                         Short-term -34 1,828 -34 1,828 NM NM
                         Long-term -77 137 -77 137 NM NM
                    Development banks -115 0 -115 0 -100.00 -100.00
                         Short-term 0 0 0 0 N/E N/E
                         Long-term -115 0 -115 0 -100.00 -100.00
                    General government 3,198 8,079 3,198 8,079 152.61 152.61
                         Short-term 1,063 306 1,063 306 -71.24 -71.24
                               Securities issued abroad 0 0 0 0 N/E N/E
                               Securities issued in Mexico 1,063 306 1,063 306 -71.24 -71.24
                                      Of which: broad-government securities 1,063 306 1,063 306 -71.24 -71.24
                         Long-term 2,135 7,773 2,135 7,773 NM NM
                               Securities issued abroad 4,000 9,070 4,000 9,070 126.74 126.74
                               Securities issued in Mexico -1,865 -1,296 -1,865 -1,296 -30.48 -30.48
                                      Of which: broad-government securities -1,865 -1,296 -1,865 -1,296 -30.48 -30.48
                      Other sectors -899 -1,160 -899 -1,160 29.00 29.00
                            Other financial corporations 9 -15 9 -15 NM NM
                                      Short-term 3 1,107 3 1,107 NM NM
                                      Long-term 7 -1,123 7 -1,123 NM NM
                            Nonfinancial corporations, households, and NPISHs -909 -1,144 -909 -1,144 25.97 25.97
                                      Public enterprises -275 -2,311 -275 -2,311 NM NM
                                             Short-term 0 0 0 0 -86.57 -86.57
                                             Long-term -275 -2,311 -275 -2,311 NM NM
                                      Pidiregas 0 0 0 0 N/E N/E
                                      Other -634 1,166 -634 1,166 NM NM
                                             Short-term 0 1 0 1 44.15 44.15
                                             Long-term -634 1,166 -634 1,166 NM NM
     III. Financial derivatives (A - B) 1,693 2,165 1,693 2,165 27.85 27.85
       A. Net acquisition of financial assets -10,677 -10,911 -10,677 -10,911 2.19 2.19
          B. Net incurrence of liabilities -12,370 -13,075 -12,370 -13,075 5.70 5.70
     IV. Other investment (A - B) 4,130 834 4,130 834 -79.80 -79.80
          A. Net acquisition of financial assets 3,852 8,054 3,852 8,054 109.12 109.12
                     Banco de México -31 -9 -31 -9 -69.55 -69.55
                     Deposit-taking corporations 12,032 5,297 12,032 5,297 -55.98 -55.98
                             Commercial banks 11,704 6,164 11,704 6,164 -47.34 -47.34
                             Development banks 328 -867 328 -867 NM NM
                      General government 7 1 7 1 -81.82 -81.82
                      Other sectors -8,156 2,766 -8,156 2,766 -133.91 -133.91
                             Other financial corporations 2,405 2,130 2,405 2,130 -11.42 -11.42
                             Nonfinancial corporations, households, and NPISHs -10,561 636 -10,561 636 -106.02 -106.02
                                     Public enterprises 643 -289 643 -289 -144.97 -144.97
                                     Other -11,204 925 -11,204 925 -108.26 -108.26
          B. Net incurrence of liabilities -278 7,220 -278 7,220 NM NM
               Special drawing rights 0 0 0 0 N/E N/E
               Currency and deposits 140 473 140 473 NM NM
                    Banco de México -9 0 -9 0 -103.24 -103.24
                    Commercial banks 148 472 148 472 NM NM
                         Short-term 147 468 147 468 NM NM
                         Long-term 1 4 1 4 NM NM
                     Loans, trade credit and advances -134 6,231 -134 6,231 NM NM
                          Deposit-taking corporations 1,258 5,008 1,258 5,008 NM NM
                                 Commercial banks 2,465 5,594 2,465 5,594 126.97 126.97
                                         Short-term 2,441 5,535 2,441 5,535 126.77 126.77
                                         Long-term 24 59 24 59 147.55 147.55
                                  Development banks -1,206 -586 -1,206 -586 -51.41 -51.41
                                         Short-term -782 -535 -782 -535 -31.63 -31.63
                                          Long-term -425 -52 -425 -52 -87.82 -87.82
                            General government -191 1,355 -191 1,355 NM NM
                                   Short-term 0 0 0 0 N/E N/E
                                   Long-term -191 1,355 -191 1,355 NM NM
                             Other sectors -1,200 -132 -1,200 -132 -89.04 -89.04
                                   Other financial corporations 1 2 1 2 54.82 54.82
                                         Short-term 0 0 0 0 N/E N/E
                                          Long-term 1 2 1 2 54.82 54.82
                                    Nonfinancial corporations, households, and NPISHs -1,202 -134 -1,202 -134 -88.88 -88.88
                                           Public enterprises 840 435 840 435 -48.17 -48.17
                                                 Short-term 663 -161 663 -161 -124.36 -124.36
                                                 Long-term 177 597 177 597 NM NM
                                           Pidiregas 0 0 0 0 N/E N/E
                                           Other -2,042 -569 -2,042 -569 -72.13 -72.13
                                                 Short-term -154 -1,141 -154 -1,141 NM NM
                                                 Long-term -1,888 572 -1,888 572 -130.29 -130.29
                    Other accounts payable -285 516 -285 516 NM NM
                           Commercial banks -487 333 -487 333 -168.35 -168.35
                                 Short-term -487 333 -487 333 -168.35 -168.35
                                 Long-term 0 0 0 0 N/E N/E
                            Other sectors 203 183 203 183 -9.62 -9.62
                                 Other financial corporations 0 0 0 0 N/E N/E
                                        Short-term 0 0 0 0 N/E N/E
                                         Long-term 0 0 0 0 N/E N/E
                                  Nonfinancial corporations, households, and NPISHs 203 183 203 183 -9.62 -9.62
                                         Public enterprises 203 183 203 183 -9.62 -9.62
                                               Short-term 203 183 203 183 -9.62 -9.62
                                               Long-term 0 0 0 0 N/E N/E
                                         Other 0 0 0 0 N/E N/E
                                               Short-term 0 0 0 0 N/E N/E
                                               Long-term 0 0 0 0 N/E N/E
     V. Reserve assets 2,858 4,728 2,858 4,728 65.43 65.43
          Total change in gross international reserves 5,170 5,103 5,170 5,103 -1.30 -1.30
          Valuation adjustments 2,312 375 2,312 375 -83.77 -83.77
Errors and omissions 3,035 -7,762 3,035 -7,762 NM NM
Current account            
          Balance on goods and services -9,245 -3,101 -9,245 -3,101 -66.46 -66.46
               Balance on goods -4,883 -2,745 -4,883 -2,745 -43.78 -43.78
                    Oil trade balance -8,095 -2,441 -8,095 -2,441 -69.85 -69.85
                    Non-oil trade balance 3,277 -265 3,277 -265 -108.09 -108.09
                    Balance on goods procured in ports by carriers -65 -39 -65 -39 -39.76 -39.76
               Balance on services -4,362 -356 -4,362 -356 -91.84 -91.84
          Balance on primary income -25,240 -23,379 -25,240 -23,379 -7.37 -7.37
          Balance on secondary income 13,888 13,898 13,888 13,898 0.07 0.07
Financial account            
          Financial account excluding reserve assets -20,328 -25,084 -20,328 -25,084 23.39 23.39
          Public sector portfolio liabilities 2,808 5,768 2,808 5,768 105.40 105.40
          Private sector portfolio liabilities -1,325 4,080 -1,325 4,080 NM NM
          Public sector other investment liabilities -364 1,387 -364 1,387 NM NM
          Private sector other investment liabilities 86 5,833 86 5,833 NM NM
          Pidiregas liabilities 0 0 0 0 N/E N/E

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