New VOLUME 27 - NO. 2 2017 - Bank of Jamaica · 2017. 4. 24. · Fig. 3 - Commercial Bank: Assets...
Transcript of New VOLUME 27 - NO. 2 2017 - Bank of Jamaica · 2017. 4. 24. · Fig. 3 - Commercial Bank: Assets...
FEBRUARY 2017 VOLUME 27 - NO. 2
CONTENTS
Pages
Monetary Aggregates …………………………………………………..………………… 1
Commercial Banks Assets and Liabilities ……………………………………..……… 1
Commercial Banks Deposits and Loans ………………………………………....…… 1-2
Commercial Banks Liquidity ………………………………………………......…… 2
Interest Rates (Selected) ………………………………………………………….….. 2-3
Securities …………………………………………………………………………..…. 3
Instalment Credit ……………………………………………………………….…….. 3
Near-Banks ……………………………………………………………………….….. 4
Building Societies………………………………………………………………..……. 4
Inflation Rates …………………………………………………………………….….. 5
Actual Production ………………………………………………………………...….. 5
Gross Domestic Product …………………………………………………………….... 5
Stock Market Activities …………………………………………………………...….. 5
Remittances……………………………………………………………………..…….. 5
Tourism ……………………………………………………………………………..... 5
External Trade ……………………………………………………..…………….….. 6
Balance of Payments BOJ ………………………………………………….…..…….. 7
Net International Reserves ……………………………………………………..…….. 8
Foreign Exchange Developments……………………………………………………...………….…..8
Graphs
Fig. 1 - Money Supply (Local and Foreign Currency)
Fig. 2 - Money Supply and Base Money
Fig. 3 - Commercial Bank: Assets and Liabilities
Fig. 4 - Commercial Banks: Deposits and Loans
Fig. 5 - Commercial Banks: Interest rates
Fig. 6 - G.O.J Treasury Bills: Weighted Average (Yield)
Fig. 7 - Near Banks: Assets and Liabilities
Fig. 8 - Instalment Credit
Fig. 9 - Building Societies: Assets and Liabilities
Fig. 10 - Inflation & CPI
Fig. 11 - JSE Index
Fig. 12 - Remittance Inflows
Fig. 13 - Current Account (BOP)
Fig. 14 - BOP Change in Imports by SITC
Jan-16 Dec-16 Jan-17 % change p.a.
I. MONETARY AGGREGATES (J$mn) Jan 2016 Dec 2016 Jan 2017
Local and Foreign Currency
Money Supply (M1) ……………………..……….…. 197,750.21 208,719.10 201,429.56 1.86
Currency with the Public ……………………….…. 76,123.54 86,411.11 77,468.94 1.77
Demand Deposits (adj)* ……………………......... 121,626.67 122,307.99 123,960.62 1.92
Quasi-Money ………………………………..…….… 402,269.61 375,983.42 378,202.10 -5.98
Time …………………………………….…..…… 328,167.40 83,616.77 79,481.63 -75.78
Savings …………………………………..…….… 74,102.21 292,366.64 298,720.47 7.26
Money Supply (M2) …………………………......…. 254,065.18 584,702.52 579,631.66 17.58
Domestic Credit ………………………………...….. 482,993.23 527,484.04 523,310.58 8.35
Local Currency
Money Supply (M1) ………………………..….....…. 154,072.59 182,903.17 171,965.82 11.61
Currency with the Public …………………….……. 68,136.73 86,411.11 77,468.94 13.70
Demand Deposits (adj)* ………………..……..…. 85,935.86 96,492.06 94,496.89 9.96
Quasi-Money …………………………….….........… 159,046.94 171,821.33 172,444.40 8.42
Time ………………………………………...…… 32,837.39 32,025.25 32,105.05 -2.23
Savings ……………………………………..….… 126,209.55 139,796.08 140,339.35 11.20
Money Supply (M2) ……………………………...…. 313,119.53 354,724.50 344,410.22 9.99
Domestic Credit ………………………….……..….. 425,403.68 441,424.42 443,252.39 4.20
Jan 2016 Dec 2016 Jan 2017
Jan-16 Dec-16 Jan-17 % change p.a.
Base Money ………………………………….…......….. 115,488.17 140,698.11 131,307.41 13.70
Fig. 1 Fig. 2
Jan 2016 Dec 2016 Jan 2017
II. COMMERCIAL BANKS (J$mn) Jan-16 Dec-16 Jan-17 % change p.a.
Assets & Liabilities (J$mn)*** ………………..…..…. 934,862.19 1,046,804.41 1,050,540.25 12.37
Loans** ……………………………………..........…… 418,664.82 495,388.45 499,055.03 19.20
Agriculture ………………………..…………….…… 9,778.16 8,950.67 8,860.88 -9.38
Manufacturing ………………………………….....…. 18,435.64 17,615.52 17,915.46 -2.82
Construction & Land Development …………...…....... 23,541.36 25,446.49 24,856.12 5.58
Mining …………………………………………....…. 786.24 765.23 685.00 -12.88
Tourism …………………………………………...… 33,738.30 44,203.88 44,560.42 32.08
Transport, Storage & Communication ……………..…. 11,071.97 10,767.39 11,025.72 -0.42
Consumer-Oriented …………………………….....… 274,496.69 308,747.29 309,325.52 12.69
Government Services …………………………….….. 29,158.06 24,195.13 27,364.61 -6.15
Other …………………………………………..….… 17,658.40 54,696.85 54,461.30 208.42
Jan 2016 Dec 2016 Jan 2017
Loan Quality (%) - 3 mths & Over Jan-16 Dec-16 Jan-17
Past Due Loans / Total Loans ………………...….…. 4.05 2.73 2.78
0
50,000
100,000
150,000
200,000
250,000
Jan
2016
Feb
2016
Mar
2016
Apr
2016
May
2016
Jun
2016
Jul
2016
Aug
2016
Sep
2016
Oct
2016
Nov
2016
Dec
2016
Jan
2017
J$
mn
Money Supply - M1
Local and Foreign Currency
Jan 2016 - Jan 2017
Currency with the Public Demand Deposits M1
70,00075,00080,00085,00090,00095,000100,000105,000110,000115,000120,000125,000130,000135,000140,000145,000
0
60,000
120,000
180,000
240,000
300,000
360,000
420,000
480,000
540,000
JM
$m
n
JM
$m
n
Money Supply and Base Money
Jan 2016 - Jan 2017
M1 M2 Base Money - r.h.s.
* Includes provision for loan losses; and excludes loans acquired by FINSAC.
** Excludes Deposits of Government, Public Entities, Financial Institutions and Non Residents
+ Revised 1
Fig. 3 Fig. 4
Jan 2016 Dec 2016 Jan 2017
II. COMMERCIAL BANKS (J$mn) (Cont'd) Jan-16 Dec-16 Jan-17 % change p.a.
DEPOSITS …………………………………….....……. 602,008.26 667,496.41 674,282.44 12.01
Private Sector (including overseas residents) …...….. 476,528.67 527,142.68 529,194.92 11.05
Time ………………………………………….….. 84,668.27 93,357.01 88,497.75 4.52
Savings …………………………………..…...….. 269,732.54 311,186.49 317,172.46 17.59
Demand ………………………………………..…. 122,127.86 122,599.17 123,524.71 1.14
Government ……………………..……………...…… 36,601.59 43,813.50 41,757.59 14.09
Time ………………………………..………...….. 2,404.62 3,049.80 2,975.93 23.76
Savings ……………………………..………...….. 4,713.55 5,653.99 5,082.38 7.82
Demand ……………………………..………...…. 29,483.42 35,109.71 33,699.28 14.30
Public Entities ………………………………..…..…. 49,217.73 55,587.30 58,772.51 19.41
Time ……………………………………..…...….. 28,228.16 35,486.96 36,812.45 30.41
Savings …………………………………..…...….. 6,406.87 7,678.90 11,211.66 74.99
Demand ………………………………..…...……. 14,582.70 12,421.44 10,748.40 -26.29
Spec. & O.F. Insts. ………………………….....…… 39,660.28 40,952.93 44,557.42 12.35
Time ……………………………………....….….. 12,508.13 11,238.01 11,191.53 -10.53
Savings ……………………………………..…….. 4,789.09 6,078.05 6,615.15 38.13
Demand ………………………………..……...…. 22,363.06 23,636.88 26,750.75 19.62
Jan 2016 Dec 2016 Jan 2017
Jan-16 Dec-16 Jan-17
Current Account Balances with BOJ (J$mn) ……....….. 327.25 344.74 563.89 72.31
Jan 2016 Dec 2016 Jan 2017
LIQUIDITY (Average) % Jan-16 Dec-16 Jan-17
Actual Liquid Assets Ratio …………..……...………. 30.07 30.03 30.21
Cash ………………………………..……...…….. 2.84 3.08 2.84
Deposits with BOJ …………………..………...…. 12.14 12.43 12.26
Treasury Bills ……………………….………...…. 0.05 0.04 0.09
Other ………………………………………..……. 15.04 14.49 15.03
Statutory Requirement ……………………….……… 26.00 26.00 26.00
850,000
900,000
950,000
1,000,000
1,050,000
1,100,000J
$M
N
Commercial Banks - Assets and Liabilities
Jan 2016 - Jan 2017
150,000210,000270,000330,000390,000450,000510,000570,000630,000690,000750,000
Jan
2016
Feb
2016
Mar
2016
Apr
2016
May
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Jun
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Jul
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Aug
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Sep
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Oct
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Nov
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Dec
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Jan
2017
J$
MN
Commercial Banks - Deposits and Loans
Jan 2016 - Jan 2017
ComBank Loans Deposits
2
III. SELECTED INTEREST RATES (%)
Jan 2016 Dec 2016 Jan 2017
COMMERCIAL BANKS (Domestic Currency) Jan-16 Dec-16 Jan-17
Weighted Fixed Deposits Rate …………………....…... 3.72 3.37 3.69
Overall Weighted Deposit Rate ……………….....……. 1.56 1.34 1.41
Weighted Loan Rate ……………………………...…… 17.27 16.20 16.12
Feb 2016 Jan 2017 Feb 2017
G.O.J. Treasury Bills (Weighted Average) Yield Feb-16 Jan-17 Feb-17
1 Months:……………………………………….……… 5.54 6.20 6.08
3 Months:………………………………………...……. 6.00 5.62 5.92
6 Months:………………………………………...……. 5.73 6.27 6.12
Fig. 5
Feb 2016 Jan 2017 Feb 2017
BOJ Open Market Rates (%) …………………...…..….. Feb-16 Jan-17 Feb-17
30-Day ……………………………………..…..…….. 5.25 5.00 5.00
Feb 2016 Jan 2017 Feb 2017
IV. SECURITIES (J$mn) (Outstanding Balances) Feb-16 Jan-17 Feb-17 % change p.a
GOJ Benchmark Investment Notes ………………..…….. 809,243.13 785,439.35 785,614.43 -2.92
Feb 2016 Jan 2017 Feb 2017
Feb-16 Jan-17 Feb-17 % change p.a
GOJ Treasury Bills …………………………..……..……. 4,000.00 4,888.04 5,120.05 28.00
Feb 2016 Jan 2017 Feb 2017
Feb-16 Jan-17 Feb-17
BOJ Open Market Operations (including repurchase
agreements) ……………….……..…… 71,033.50 54,429.56 63,684.74 -10.35
Jan 2016 Dec 2016 Jan 2017
V. INSTALMENT CREDIT (J$mn) (Banks & Near Banks) Jan-16 Dec-16 Jan-17 % change p.a.
Total Credit Outstanding …………………….…….….…… 86,636.70 98,567.96 100,348.29 15.83
New Business ……………………………….……….….…. 3,247.46 3,793.65 4,521.20 39.22
Fig. 6
0.00
2.50
5.00
7.50
10.00
12.50
15.00
17.50
20.00
Per c
en
t
Commercial Banks - Interest Rates
Jan 2016 - Jan 2017
Overall Deposits Weighted Loan
0.00
2.00
4.00
6.00
8.00
Per
cen
t
G.O.J Treasury Bills - Weighted Average (Yield)
Feb 2016 - Feb 2017
1 month (23-35 Days) 3 months (88-93 Days)
6 months (179-186 Days)
3
VI. NEAR-BANKS (J$mn)* Jan-16 Dec-16 Jan-17 % change p.a.
(Merchant Banks, Trust Com & Finance Houses) Jan 2016 Dec 2016 Jan 2017
Assets/Liabilties …………………………….……..…..…… 30,905.54 37,727.39 35,967.99 16.38
Loans Outstanding ………………………………….…..….. 12,812.10 18,112.61 18,995.32 48.26
Total Deposits …………………………………..…..……… 16,539.29 20,554.39 20,778.00 25.63
Jan 2016 Dec 2016 Jan 2017
Loan Quality (%) - 3 mths & Over Jan-16 Dec-16 Jan-17
Past Due Loans / Total Loans ………………….……… 0.89 0.78 0.89
Jan 2016 Dec 2016 Jan 2017
Liquidity Ratio Jan-16 Dec-16 Jan-17
Liquid Assets Ratio (average) % …………….………..….. 29.89 29.17 27.78
Statutory Requirement ……………………….…….….…. 26.00 26.00 26.00
Fig. 7
Jan 2016 Dec 2016 Jan 2017
NEAR-BANKS (J$mn) - Cont'd Jan-16 Dec-16 Jan-17 % change p.a.
Loans ……………………………………………….....… 12,812.10 18,112.61 18,995.32 48.26
Agriculture …………………………………...…...….… 154.33 153.27 166.12 7.64
Manufacturing ………………………………...…...…… 800.51 926.69 917.87 14.66
Construction & Land Development ………..….....…..… 1,425.67 1,174.73 1,205.87 -15.42
Mining, Quarrying & Processing …………….….…...… 221.09 171.49 170.20 -23.02
Tourism ……………………………………..…...….…. 1,225.41 1,308.83 1,294.46 5.63
Transport, Storage & Communication ……….……....… 104.77 518.89 516.78 393.26
Consumer Oriented …………………………….……… 8,548.68 12,055.72 12,921.67 51.15
Government Services ………………………….....……. 0.00 0.00 0.00 -
Other …………………………………………….…….. 331.63 1,802.99 1,802.37 443.49
Jan 2016 Dec 2016 Jan 2017
VII. BUILDING SOCIETIES (J$mn) Jan-16 Dec-16 Jan-17 % change p.a.
(members & associate members)
Assets/Liabilities ……………………………………….…… 250,508.85 280,283.33 285,807.91 14.09
Loan Balances ……………………………………….….…. 117,545.48 129,659.83 130,306.27 10.86
Savings Funds ………………………………………...……. 169,278.14 189,867.17 190,747.22 12.68
Jan 2016 Dec 2016 Jan 2017
Loan Quality (%) - 3 mths & Over Jan-16 Dec-16 Jan-17
Past Due Loans / Total Loans ……………….…...….…… 4.74 3.67 3.78
Fig. 9
Fig. 8
Fig. 10
0
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J$m
n
Near Banks: Assets & LiabilitiesOct 2015 - Oct 2016
Assets & Liabilities Deposits Loans and Advances
70,000
80,000
90,000
100,000
0600
1,2001,8002,4003,0003,6004,2004,8005,4006,000
J$m
nJ$m
n
Instalment CreditNov 2015 - Nov 2016
New Business - l.h.s Credit Outstanding - r.h.s
030,00060,00090,000
120,000150,000180,000210,000240,000270,000300,000330,000
J$
MN
Building Societies - Assets and Liabilities
Jan 2016 - Jan 2017
Assets & Liabilties Loans and Advances Savings Fund
220.0
225.0
230.0
235.0
240.0
-0.9
-0.6
-0.3
0.0
0.3
0.6
0.9
1.2
Ind
ex
Pe
r ce
nt
Inflation & CPI
Feb 2016 - Feb 2017
Inflation Rate CPI
* As at June 2008 PanCaribbean Merchant Bank ended operations
4
VIII. INFLATION Feb-16 Jan-17 Feb-17 % change p.a.
Consumer Price Index (Dec 2006 = 100) ………......…. 229.6 237.3 237.8 3.56
Monthly Rate (%) ………………………………......….. -0.7 0.4 0.2
Calendar Year to Date (%) ………………………….…. -1.2 0.4 0.6
Fiscal Year to Date (%) ………………….………....…. 3.1 3.5 3.7
Feb 2016 Jan 2017 Feb 2017
Dec 2015 Nov 2016 Dec 2016
IX. ACTUAL PRODUCTION ('000) Dec-15 Nov-16 Dec-16 % change p.a.
Crude Bauxite (tonnes) ……………………..……....…. 163.84 150.40 137.10 -16.32
Alumina (tonnes) ………………………………...…..... 364.20 288.20 275.80 -24.27
Sugar (tonnes) …………………………….…...…....… 0.00
Q4, 2015 Q3, 2016 Q4, 2016
X.
QUARTERLY GROSS DOMESTIC PRODUCT
REAL GROWTH RATES (%) Dec-15 Sep-16 Dec-16
Total Value-Added at Basic Prices
Seasonally Adjusted*** …………………..…….….. -0.31 0.91 -1.08
Seasonally Unadjusted**** …………….…….….…. 0.90 2.00 1.15
Feb 2016 Jan 2017 Feb 2017
XI. STOCK MARKET ACTIVITIES Feb-16 Jan-17 Feb-17 % change p.a.
Index* ………………………………………....…….…156,699.28 211,846.70 230,967.92 47.40
Volume Traded (mn)** ……………………………..…. 730.43 235.87 107.45 -85.29
Ordinary Shares …………………………...…….…. 100.09 235.87 107.45 7.35
Block Transactions ………………………..…….…. 630.34 0.00 0.00 -
Value of stocks Traded (J$mn)** ……………..…….… 1,519.86 2,919.09 1,534.27 0.95
Ordinary Shares …………………………….……… 1,519.86 2,919.09 1,534.27 0.95
Block Transactions …………………………..…….. 0.00 0.00 0.00 -
Advance/Decline Ratio** …………………………….… 17/6 12/9 9/10
Fig. 11
Dec 2015 Nov 2016 Dec 2016
XII. REMITTANCE (US$mn) Dec-15 Nov-16 Dec-16 % change p.a.
Net Remittances ………………………..……….….….. 188.5 155.5 202.2 7.24
Total Remmittance Inflows ……………….…...….…. 210.9 178.1 222.3 5.38
Remittance Companies ………………...……….… 186.0 152.3 193.0 3.77
Other Remittances ………………………...…....… 24.9 25.8 29.3 17.42
Total Remmittance Outflows ……………………..….. 22.4 22.7 20.1 -10.28
Oct 2015 Sep 2016 Oct 2016
XIII. TOURISM Oct-15 Sep-16 Oct-16 % change p.a.
Tourists Arrivals ('000) ……………………...……..…. 222.04 206.37 225.70 1.65
Stop Over ……………………………………...….. 134.32 120.34 135.47 0.86
Foreign Nationals ………………………...……... 125.12 110.90 125.44 0.25
Non - Resident Jamaicans …………………...….. 9.20 9.44 10.03 9.07
Cruise ………………………….…………...….….. 87.72 86.03 90.23 2.87
Fig. 12
0
50000
100000
150000
200000
250000
U
N
I
T
S
JSE Index
Feb 2016 - Feb 2017
120.00
140.00
160.00
180.00
200.00
220.00
240.00
U
S
$
M
N
Remittance Inflows
Dec 2015 - Dec 2016
* As at end of month
** Monthly values
*** Percentage change (%) over preceeding quarter
**** Percentage change (%) over corresponding quarter of previous year 5
XIV. EXTERNAL TRADE (US$mn) Q4, 2015 Q4, 2016
1. EXPORTS Aug- Sep 2015 Aug - Sep 2016 Change
(a) Major Traditional Exports ………………….…….. 169.35 128.03 -41.32
Bauxite ……………………………….……….…. 25.17 17.90 -7.28
Alumina ……………………………………...…. 143.91 109.56 -34.35
Sugar ……………………………………….……. 0.20 0.48 0.29
Banana ……………………………………….….. 0.07 0.09 0.03
(b) Other Traditional Exports …………………….….. 13.41 12.96 -0.45
(c) Non-Traditional Exports ……………………….… 84.29 108.21 23.92
(d) Re-exports ………………………………….…….. 17.95 28.15 10.20
General Merchandise Exports ………………….….. 284.99 277.35 -7.64
(e) Freezone Exports …………………………….…… 0.00 0.00 0.00
(g) Goods Procured in Ports ……………………….… 20.86 25.14 4.28
TOTAL GOODS EXPORTS ………………….….. 305.86 302.49 -3.36
Q4, 2015 Q4, 2016
2a. IMPORTS (by SITC) Aug- Sep 2015 Aug - Sep 2016 Change
General Merchandise Imports ………….………….…. 1,232.89 1,243.09 10.21
Food ……………………………….……….…….. 212.17 212.41 0.24
Beverage & Tobacco ………………………….….. 20.21 19.77 -0.44
Crude Material ………………………….……...… 13.47 13.65 0.18
Mineral Fuel ………………………….………….. 223.46 251.18 27.72
Animal & Vegetable Oil ……………………….….. 8.10 1.27 -6.82
Chemicals …………………………………….…… 135.60 139.43 3.83
Manufactured Goods …………………………..….. 164.64 145.90 -18.74
Machinery & Transportation ………………….….. 298.30 332.37 34.07
Miscellaneous Manufactured Goods ………...….… 137.33 124.57 -12.76
Miscellaneous Commodities ………………...…….. 19.60 2.53 -17.07
Freezone Imports ………………………………….…. 0.00 0.00 0.00
Goods Procured in Ports ………………………….…. 11.67 14.45 2.77
TRADE GOOD IMPORTS(cif).……………….….. 1,244.56 1,257.54 12.98
Trade Balance …………………………………….…… -938.70 -955.05 -16.34
Q4, 2015 Q4, 2016
IMPORTS (by End-Use) Aug- Sep 2015 Aug - Sep 2016 Change
Consumer Goods ……………………………….……. 489.71 426.72 -62.99
Raw Materials …………………………………….….. 584.70 583.48 -1.22
Capital Goods …………………………………….…. 158.48 232.89 74.42
General Merchandise Imports …………………………... 1,232.89 1,243.09 10.21
Freezone Imports …………………………………….….. 0.00 0.00 0.00
Goods Procured in Ports ………………………………... 11.67 14.45 2.77
TOTAL GOODS IMPORTED (cif) .……………….… 1,244.56 1,257.54 12.98
Fig. 13 Fig. 14
-585.5
-936.0
-316.3 -255.5
-632.0
-536.1
-236.1
-306.6
-179.4 -172.8
-1000.0
-900.0
-800.0
-700.0
-600.0
-500.0
-400.0
-300.0
-200.0
-100.0
0.02007 2008 2009 2010 2011 2012 2013 2014 2015 2016
US
$M
N
Current AccountApr-Sept
+ Revised 6
XV. *BALANCE OF PAYMENTS (US$mn) Jul - Sep Jul - Sep Change
Balance of Payments (Calendar) 2015 2016
Sep 2015 Sep 2016
1. Current Account Balance……………………………………… -179.4 -172.8 6.5
Credits ………………………………………………………………………………..1,737.4 1,783.7 46.3
Debits……………………………………………………………………………………1,916.8 1,956.5 39.7
A. Goods & Services………………………………………………….. -632.4 -605.6 26.9
Exports……………………………………………………………………………….1,014.9 1,038.8 23.9
Imports……………………………………………………………………………….1,647.3 1,644.3 -3.0
Goods…………………………………………………………………………….-789.2 -808.2 -19.0
Exports (fob)……………………………………………. 298.3 284.8 -13.4
Imports (fob)……………………………………………. 1,087.4 1,093.0 5.6
Services………………………………………………………………………156.7 202.6 45.9
Exports……………………………………………………………………………….716.6 754.0 37.3
Imports……………………………………………………………………………….559.9 551.4 -8.5
B. Primary Income……………………………………………………… -128.9 -174.2 -45.3
Credits………………………………………………………………………………. 76.6 77.0 0.4
Debits…………………………………………………………………………………205.5 251.3 45.7
C. Secondary Income………………………………………………. 582.0 607.0 25.0
Credits……………………………………………………………………………... 645.9 667.9 21.9
Debits…………………………………………………………………………………64.0 60.9 -3.0
2. Capital Account…………………………………………………………. 1449.7 12.0 -1437.6
Credits………………………………………………………………………………... 1449.7 12.0 -1437.6
Debits…………………………………………………………………………………..0.0 0.0 0.0
Net lending (+) / net borrowing (-) (balance from current and
capital account) 1270.3 -160.8 -1431.1
3. Financial Account
Net lending (+) / net borrowing (-) (balance from financial
account) 720.1 283.4 -436.7
A. Direct Investment………………………………………………….. -267.3 -182.4 84.9
Net acquisition of financial assets……………………….. 6.5 -0.1 -6.6
Net incurrence of liabilities……………………………………….. 273.8 182.3 -91.5
B. Portfolio Investments………………………………………….. -1876.3 277.3 2153.6
Net acquisition of financial assets……………………….. 22.9 231.4 208.6
Net incurrence of liabilities……………………………………….. 1899.2 -45.8 -1945.0
C. Financial Derivatives………………………………………….. 0.8 34.7 33.9
Net acquisition of financial assets……………………….. -1.3 14.4 15.7
Net incurrence of liabilities……………………………………….. -2.1 -20.4 -18.3
D. Other Investments………………………………………………… 2509.7 -82.6 -2592.2
Net acquisition of financial assets……………………….. -153.2 166.7 319.8
Net incurrence of liabilities……………………………………….. -2662.8 249.2 2912.1
Reserves Assets………………………………………………………………………………. 353.2 236.3
Net Errors and Omissions………………………………………… -550.3 444.2
fob - free on board
Click here for more information
*In keeping with the IMF’s latest Balance of Payments standard (BPM6, 2009), this table provides more detailed information on Financial Account
transactions, which is aimed at enhancing the understanding of the types of financing and investment associated with transactions and transfers reflected in
the Current Account and Capital Account.
7
Feb-16 Jan-16 Feb-17 % change p.a.
XVI. BOJ NET INTERNATIONAL RESERVES (US$mn) Feb 2016 Jan 2017 Feb 2017
BOJ Net International Reserves (US$mn) ………………………………...….… 2,269.76 2,469.43 2,615.26 15.22
Gross Foreign Assets …………………………………………………...…... 2,739.62 3,047.46 3,191.28 16.49
Gross Foreign Liabilities …………………………….………………...…..… 469.86 578.03 576.01 22.59
Estimated Gross Reserves in Weeks of Goods Imports …………………….… 32.54 35.55 37.23
Estimated Gross Reserves in Weeks of Goods and Services Imports ……….. 22.05 20.62 21.59
Jan 2016 Dec 2016 Jan 2017
XVII. FOREIGN EXCHANGE DEVELOPMENTS (US$mn) Jan-16 Dec-16 Jan-17 % change p.a.
Combined Foreign Exchange Trading
Foreign Exchange Purchases (spot) ………………..…………………...….. 894.25 940.97 974.08 8.93
Foreign Exchange Sales (spot) …………………………………..………..... 868.57 954.50 1019.42 17.37
Jan 2016 Dec 2016 Jan 2017
Foreign Currency Deposit Balances of Authorised Dealers (US$mn) Jan-16 Dec-16 Jan-17
% change
p.a.
Commercial Banks Balances ……………………………………...……..….. 2,280.73 2,404.86 2,040.33 -0.01
A Accounts 1/ ……………………………………………………...…..… 56.12 43.98 37.35 -0.03
B Accounts …………………………………………………...………..… 0.09 0.08 0.08 -0.01
Other ………………………………………………………………...……. 2,224.51 2,360.80 2,002.90 -0.01
FIAs Balance ……………………………………………...……………...…. 76.10 84.09 66.50 -0.01
A Accounts 1/ …………………………………………………….…...….. 14.27 17.54 0.00 -0.10
B Accounts …………………………………………………………...…... 0.00 0.00 0.00 -
Other ………………………………………………………………....…… 61.83 66.55 66.50 0.01
Building Societies Balances ………………………………………….…...….. 653.19 710.98 711.08 0.01
A Accounts 1/ …………………………………………………...……..… 272.70 285.57 283.32 0.00
B Accounts …………………………………………………...……...….. 50.43 46.92 46.92 -0.01
Other ……………………………………………………….…………….. 330.06 378.49 380.85 0.02
Total Foreign Currency Deposits (US$mn) ………………………………………………………..3,010.02 3,199.94 2,817.91 -0.01
Total Foreign Currency Loans (US$mn) ………………………………………………………..1,080.19 1,324.41 1,335.45 0.02
Commercial Banks ……………………………………………………….. 1,018.59 1,235.83 1,246.41 0.02
FIAs …………………………………………………………...……..….. 14.50 19.60 19.60 0.04
Building Societies ………………………………………………..……….. 47.10 68.98 69.44 0.05
Feb 2016 Jan 2017 Feb 2017
London Interbank Offer Rate (LIBOR) Eurodollars (%) Feb-16 Jan-17 Feb-17
3 months ………………………………………………………..…………..….. -0.22 -0.34 -0.35
6 months ………………………………………………………….………...….. -0.13 -0.24 -0.25
Feb 2016 Jan 2017 Feb 2017
Selling Exchange Rates (end period) (J$ per unit of foreign currency) Feb-16 Jan-17 Feb-17
US$1.00 ….……………………………………………………….…….……... 121.85 128.26 128.11
Can $1.00 ….……………………………………………………..…..…….. 90.03 97.53 97.80
UK £1.00 ………………………………………………..……….……….. 169.60 160.05 159.91
Euro €1.00*………………………………………………………….…….….….. 134.61 139.19 136.36
Caricom Selling Exchange Rates* (J$ per unit of foreign currency) Feb-16 Jan-17 Feb-17
TT $1 ...………………………………………………………….……….….. 18.67 19.01 19.06
Bdos $1 ….………………………………………….…………………..…….. 60.91 64.17 64.09
Guy $1 ….…………………………………………………...………..……….. 0.60 0.63 0.62
EC $1 ….……………………………………………………..…...………….. 45.12 47.54 47.47
* Indicative Rates 8
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