STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S....

24
STANDARD PRESENTATION ( In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993 Current account.................................................................. 6,980 9,206 16,282 18,045 10,266 11,503 10,914 12,468 8,550 7,042 Goods and services.......................................................... 6,408 8,279 14,563 16,452 8,782 9,794 7,148 7,252 3,590 3,554 Total credit................................................................... 33,023 33,356 43,460 57,835 66,504 73,589 74,443 85,053 92,351 99,287 Total debit.................................................................... 26,615 25,077 28,897 41,383 57,722 63,795 67,295 77,801 88,761 95,733 Goods........................................................................... 9,252 11,139 16,884 20,183 13,731 16,172 14,798 15,987 13,503 13,522 Credit...................................................................... 30,548 30,793 39,859 53,638 60,738 66,435 67,462 76,913 82,999 88,087 General merchandiseexport............................... 30,548 30,793 39,859 53,638 60,738 66,435 67,424 76,561 82,120 85,954 Net exports of goods under merchanting............... 38 352 879 2,133 Nonmonetary goldexport................................... Debit........................................................................ 21,296 19,654 22,975 33,455 47,007 50,263 52,664 60,926 69,496 74,565 General merchandiseimport............................... 21,296 19,581 22,941 33,181 44,465 48,288 51,341 59,612 67,482 73,042 Nonmonetary goldimport................................... 73 34 274 2,542 1,975 1,323 1,314 2,014 1,523 Services........................................................................ -2,844 -2,860 -2,321 -3,731 -4,949 -6,378 -7,650 -8,735 -9,913 -9,968 Total credit............................................................... 2,475 2,563 3,601 4,197 5,766 7,154 6,981 8,140 9,352 11,200 Total debit................................................................ 5,319 5,423 5,922 7,928 10,715 13,532 14,631 16,875 19,265 21,168 Manufacturing services, credit........................... .... .... .... .... .... .... .... .... .... .... Manufacturing services, debit............................ .... .... .... .... .... .... .... .... .... .... Maintenance and repair services n.i.e., credit... 3 4 7 5 9 7 12 21 14 19 Maintenance and repair services n.i.e., debit.... 44 69 48 51 78 143 115 61 105 135 Transport, credit................................................. 685 884 1,114 1,598 2,112 2,229 2,329 2,639 2,739 3,157 Passenger......................................................... 192 194 240 297 290 286 264 241 245 477 Freight.............................................................. 329 574 726 1,108 1,589 1,705 1,799 2,106 2,168 2,335 Other(including postal and courier)................. 164 116 148 193 233 238 266 292 326 345 Transport, debit.................................................. 1,825 1,725 2,115 2,648 3,156 3,686 3,821 4,021 4,683 5,546 Passenger......................................................... 288 278 228 319 420 561 631 827 1,043 1,018 Freight.............................................................. 992 905 1,248 1,486 1,817 2,200 1,954 2,067 2,398 2,811 Other(including postal and courier)................. 545 542 639 843 919 925 1,236 1,127 1,242 1,717 Travel, credit....................................................... 1,067 962 1,332 1,620 2,289 2,699 1,741 2,017 2,449 2,942 Business travel.................................................. 150 151 233 325 478 552 360 474 650 833 Personal travel.................................................. 917 811 1,099 1,295 1,811 2,147 1,381 1,543 1,799 2,109 Travel, debit........................................................ 2,012 1,999 1,840 2,640 4,030 4,922 4,984 5,678 7,279 7,585 Business travel.................................................. 773 573 539 724 887 1,082 1,097 1,257 1,871 2,167 Personal travel.................................................. 1,239 1,426 1,301 1,916 3,143 3,840 3,887 4,421 5,408 5,418 Other services, credit.......................................... 720 713 1,148 974 1,356 2,219 2,899 3,463 4,150 5,082 Construction .................................................... 15 12 17 12 15 11 31 92 87 123 Insurance and pension services.......................... 44 41 39 69 77 140 146 218 284 403 Financial services 2 ............................................ .... .... .... .... .... .... .... .... .... .... Charges for the use of intel. property n.i.e......... 2 2 4 34 65 85 121 219 322 332 Telecom., computer, and information services .. 45 46 56 82 64 198 312 373 419 454 Other business services..................................... 589 591 998 727 1,075 1,701 2,218 2,478 2,960 3,685 Personal, cultural, and recreational services...... .... .... .... .... .... .... .... .... .... .... Government goods and services n.i.e................ 25 21 34 50 60 84 71 83 78 85 Other services, debit........................................... 1,438 1,630 1,919 2,589 3,451 4,781 5,711 7,115 7,198 7,902 Construction..................................................... 16 5 1 348 311 339 Insurance and pension services.......................... 136 138 169 139 175 199 210 365 427 542 Financial services 2 ............................................ 21 13 154 52 121 Charges for the use of intel. property n.i.e......... 121 150 172 274 381 476 582 894 1,016 860 Telecom., computer, and information services .. 14 19 15 21 24 138 217 341 388 257 Other business services..................................... 648 719 869 1,395 2,146 2,995 3,839 4,080 4,174 5,020 Personal, cultural, and recreational services...... 52 53 54 76 71 72 76 86 125 143 Government goods and services n.i.e................ 430 533 639 684 654 747 735 880 757 741 1 For goods acquired in other economies for processing abroad and sold abroad after processing in other economies, data from 2012 onwards are recorded under general merchandise, while data before 2012 are recorded under net exports of goods under merchanting. 2 Financial intermediation services indirectly measured (FISIM) are recorded under financial services from 2012 onwards.

Transcript of STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S....

Page 1: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

1984 1985 1986 1987 1988 1989 1990 1991 1992 1993

Current account.......................................................................................................................................6,980 9,206 16,282 18,045 10,266 11,503 10,914 12,468 8,550 7,042

Goods and services................................................................................................................................6,408 8,279 14,563 16,452 8,782 9,794 7,148 7,252 3,590 3,554

Total credit..................................................................................................................................33,023 33,356 43,460 57,835 66,504 73,589 74,443 85,053 92,351 99,287

Total debit...................................................................................................................................26,615 25,077 28,897 41,383 57,722 63,795 67,295 77,801 88,761 95,733

Goods.........................................................................................................................................9,252 11,139 16,884 20,183 13,731 16,172 14,798 15,987 13,503 13,522

Credit....................................................................................................................................30,548 30,793 39,859 53,638 60,738 66,435 67,462 76,913 82,999 88,087

General merchandise:export..........................................................................................................30,548 30,793 39,859 53,638 60,738 66,435 67,424 76,561 82,120 85,954

Net exports of goods under merchanting................................................................................................- - - - - - 38 352 879 2,133

Nonmonetary gold:export.............................................................................................................- - - - - - - - - -

Debit.....................................................................................................................................21,296 19,654 22,975 33,455 47,007 50,263 52,664 60,926 69,496 74,565

General merchandise:import..........................................................................................................21,296 19,581 22,941 33,181 44,465 48,288 51,341 59,612 67,482 73,042

Nonmonetary gold:import.............................................................................................................- 73 34 274 2,542 1,975 1,323 1,314 2,014 1,523

Services......................................................................................................................................-2,844 -2,860 -2,321 -3,731 -4,949 -6,378 -7,650 -8,735 -9,913 -9,968

Total credit..............................................................................................................................2,475 2,563 3,601 4,197 5,766 7,154 6,981 8,140 9,352 11,200

Total debit...............................................................................................................................5,319 5,423 5,922 7,928 10,715 13,532 14,631 16,875 19,265 21,168

Manufacturing services, credit............................................................................................................ .... .... .... .... .... .... .... .... ....

Manufacturing services, debit............................................................................................................. .... .... .... .... .... .... .... .... ....

Maintenance and repair services n.i.e., credit.........................................................................................3 4 7 5 9 7 12 21 14 19

Maintenance and repair services n.i.e., debit..........................................................................................44 69 48 51 78 143 115 61 105 135

Transport, credit.......................................................................................................685 884 1,114 1,598 2,112 2,229 2,329 2,639 2,739 3,157

Passenger.........................................................................................................................192 194 240 297 290 286 264 241 245 477

Freight...........................................................................................................................329 574 726 1,108 1,589 1,705 1,799 2,106 2,168 2,335

Other(including postal and courier)...............................................................................................164 116 148 193 233 238 266 292 326 345

Transport, debit........................................................................................................1,825 1,725 2,115 2,648 3,156 3,686 3,821 4,021 4,683 5,546

Passenger.........................................................................................................................288 278 228 319 420 561 631 827 1,043 1,018

Freight...........................................................................................................................992 905 1,248 1,486 1,817 2,200 1,954 2,067 2,398 2,811

Other(including postal and courier)...............................................................................................545 542 639 843 919 925 1,236 1,127 1,242 1,717

Travel, credit........................................................................................................................1,067 962 1,332 1,620 2,289 2,699 1,741 2,017 2,449 2,942

Business travel...................................................................................................................150 151 233 325 478 552 360 474 650 833

Personal travel...................................................................................................................917 811 1,099 1,295 1,811 2,147 1,381 1,543 1,799 2,109

Travel, debit.........................................................................................................................2,012 1,999 1,840 2,640 4,030 4,922 4,984 5,678 7,279 7,585

Business travel...................................................................................................................773 573 539 724 887 1,082 1,097 1,257 1,871 2,167

Personal travel...................................................................................................................1,239 1,426 1,301 1,916 3,143 3,840 3,887 4,421 5,408 5,418

Other services, credit................................................................................................................720 713 1,148 974 1,356 2,219 2,899 3,463 4,150 5,082

Construction .....................................................................................................................15 12 17 12 15 11 31 92 87 123

Insurance and pension services....................................................................................................44 41 39 69 77 140 146 218 284 403

Financial services2.................................................................................................................... .... .... .... .... .... .... .... .... ....

Charges for the use of intel. property n.i.e......................................................................................2 2 4 34 65 85 121 219 322 332

Telecom., computer, and information services .....................................................................................45 46 56 82 64 198 312 373 419 454

Other business services...........................................................................................................589 591 998 727 1,075 1,701 2,218 2,478 2,960 3,685

Personal, cultural, and recreational services......................................................................................... .... .... .... .... .... .... .... .... ....

Government goods and services n.i.e...............................................................................................25 21 34 50 60 84 71 83 78 85

Other services, debit.................................................................................................................1,438 1,630 1,919 2,589 3,451 4,781 5,711 7,115 7,198 7,902

Construction......................................................................................................................16 5 1 - - - - 348 311 339

Insurance and pension services....................................................................................................136 138 169 139 175 199 210 365 427 542

Financial services2................................................................................................................21 13 - - - 154 52 121 - -

Charges for the use of intel. property n.i.e......................................................................................121 150 172 274 381 476 582 894 1,016 860

Telecom., computer, and information services .....................................................................................14 19 15 21 24 138 217 341 388 257

Other business services...........................................................................................................648 719 869 1,395 2,146 2,995 3,839 4,080 4,174 5,020

Personal, cultural, and recreational services.....................................................................................52 53 54 76 71 72 76 86 125 143

Government goods and services n.i.e...............................................................................................430 533 639 684 654 747 735 880 757 741

1 For goods acquired in other economies for processing abroad and sold abroad after processing in other economies, data from 2012 onwards are recorded

under general merchandise, while data before 2012 are recorded under net exports of goods under merchanting.

2 Financial intermediation services indirectly measured (FISIM) are recorded under financial services from 2012 onwards.

Page 2: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Current account.......................................................................................................................................

Goods and services................................................................................................................................

Total credit..................................................................................................................................

Total debit...................................................................................................................................

Goods.........................................................................................................................................

Credit....................................................................................................................................

General merchandise:export..........................................................................................................

Net exports of goods under merchanting................................................................................................

Nonmonetary gold:export.............................................................................................................

Debit.....................................................................................................................................

General merchandise:import..........................................................................................................

Nonmonetary gold:import.............................................................................................................

Services......................................................................................................................................

Total credit..............................................................................................................................

Total debit...............................................................................................................................

Manufacturing services, credit........................................................................................................

Manufacturing services, debit.........................................................................................................

Maintenance and repair services n.i.e., credit.........................................................................................

Maintenance and repair services n.i.e., debit..........................................................................................

Transport, credit.......................................................................................................

Passenger.........................................................................................................................

Freight...........................................................................................................................

Other(including postal and courier)...............................................................................................

Transport, debit........................................................................................................

Passenger.........................................................................................................................

Freight...........................................................................................................................

Other(including postal and courier)...............................................................................................

Travel, credit........................................................................................................................

Business travel...................................................................................................................

Personal travel...................................................................................................................

Travel, debit.........................................................................................................................

Business travel...................................................................................................................

Personal travel...................................................................................................................

Other services, credit................................................................................................................

Construction .....................................................................................................................

Insurance and pension services....................................................................................................

Financial services2................................................................................................................

Charges for the use of intel. property n.i.e......................................................................................

Telecom., computer, and information services .....................................................................................

Other business services...........................................................................................................

Personal, cultural, and recreational services.....................................................................................

Government goods and services n.i.e...............................................................................................

Other services, debit.................................................................................................................

Construction......................................................................................................................

Insurance and pension services....................................................................................................

Financial services2................................................................................................................

Charges for the use of intel. property n.i.e......................................................................................

Telecom., computer, and information services .....................................................................................

Other business services...........................................................................................................

Personal, cultural, and recreational services.....................................................................................

Government goods and services n.i.e...............................................................................................

1 For goods acquired in other economies for processing abroad and sold abroad after processing in other economies, data from 2012 onwards are recorded

under general merchandise, while data before 2012 are recorded under net exports of goods under merchanting.

2 Financial intermediation services indirectly measured (FISIM) are recorded under financial services from 2012 onwards.

1994 1995 1996 1997 1998 1999 2000 2001 2002 2003

6,498 5,474 10,923 6,776 3,129 7,577 8,219 17,084 24,346 28,261

3,984 4,198 9,422 5,872 2,624 7,114 6,404 14,155 19,927 21,516

107,522 128,369 133,910 141,220 129,229 140,533 171,278 145,921 156,861 173,844

103,538 124,171 124,488 135,348 126,605 133,419 164,874 131,766 136,934 152,328

13,935 15,712 20,474 17,772 13,609 18,809 19,059 25,563 31,004 34,098

96,452 115,881 120,636 128,264 116,100 127,890 157,309 132,877 143,219 160,788

94,296 113,308 117,599 124,045 112,425 123,338 151,242 126,002 135,207 150,653

2,151 2,548 3,004 4,197 3,654 4,528 6,044 6,855 8,000 10,113

5 25 33 22 21 24 23 20 12 22

82,517 100,169 100,162 110,492 102,491 109,081 138,250 107,314 112,215 126,690

80,968 98,801 98,988 109,303 101,849 108,308 137,453 106,832 111,791 126,089

1,549 1,368 1,174 1,189 642 773 797 482 424 601

-9,951 -11,514 -11,052 -11,900 -10,985 -11,695 -12,655 -11,408 -11,077 -12,582

11,070 12,488 13,274 12,956 13,129 12,643 13,969 13,044 13,642 13,056

21,021 24,002 24,326 24,856 24,114 24,338 26,624 24,452 24,719 25,638

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

16 23 27 25 30 41 29 20 37 44

146 163 170 222 479 331 315 389 309 274

3,747 4,565 4,244 3,777 3,730 3,499 4,120 3,573 3,723 4,364

590 698 583 540 428 486 515 514 494 601

2,783 3,418 3,257 2,853 2,917 2,681 3,241 2,744 2,924 3,371

374 449 404 384 385 332 364 315 305 392

5,510 6,456 6,403 7,103 6,216 6,048 6,610 5,719 5,673 6,457

969 1,030 954 1,090 1,064 1,324 1,424 1,372 1,273 922

2,964 3,328 2,998 3,187 2,805 2,664 2,809 2,371 2,471 3,023

1,577 2,098 2,451 2,826 2,347 2,060 2,377 1,976 1,929 2,512

3,210 3,287 3,636 3,403 3,372 3,571 3,738 4,335 4,583 2,977

892 919 1,090 1,120 1,175 1,246 1,338 1,358 1,347 965

2,318 2,368 2,546 2,283 2,197 2,325 2,400 2,977 3,236 2,012

7,618 8,457 8,152 8,198 7,331 7,398 8,107 7,319 6,956 6,480

2,126 2,196 2,206 2,423 2,302 2,222 1,986 1,766 1,687 1,699

5,492 6,261 5,946 5,775 5,029 5,176 6,121 5,553 5,269 4,781

4,097 4,613 5,367 5,751 5,997 5,532 6,082 5,116 5,299 5,671

69 111 136 127 160 167 119 99 100 118

369 418 324 471 699 376 607 404 563 451

.... .... 741 722 712 680 805 514 757 863

210 241 256 237 317 245 371 339 255 215

472 552 603 634 645 441 402 410 395 430

2,887 3,202 3,196 3,414 3,333 3,473 3,632 3,179 3,048 3,416

.... .... 5 23 23 26 26 36 47 40

90 89 106 123 108 124 120 135 134 138

7,747 8,926 9,601 9,333 10,088 10,561 11,592 11,025 11,781 12,427

284 275 255 235 342 525 439 414 485 457

482 508 563 459 526 519 587 736 953 1,236

11 7 1,101 885 900 807 1,037 708 856 1,112

803 937 1,234 1,148 1,419 1,637 1,834 1,499 1,720 1,689

358 519 583 581 593 536 728 679 763 694

5,057 5,457 5,053 5,057 5,220 5,318 5,664 5,769 5,920 6,201

147 152 181 200 165 142 163 190 217 206

605 1,071 631 768 923 1,077 1,140 1,030 867 832

Page 3: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Current account.......................................................................................................................................

Goods and services................................................................................................................................

Total credit..................................................................................................................................

Total debit...................................................................................................................................

Goods.........................................................................................................................................

Credit....................................................................................................................................

General merchandise:export..........................................................................................................

Net exports of goods under merchanting................................................................................................

Nonmonetary gold:export.............................................................................................................

Debit.....................................................................................................................................

General merchandise:import..........................................................................................................

Nonmonetary gold:import.............................................................................................................

Services......................................................................................................................................

Total credit..............................................................................................................................

Total debit...............................................................................................................................

Manufacturing services, credit........................................................................................................

Manufacturing services, debit.........................................................................................................

Maintenance and repair services n.i.e., credit.........................................................................................

Maintenance and repair services n.i.e., debit..........................................................................................

Transport, credit.......................................................................................................

Passenger.........................................................................................................................

Freight...........................................................................................................................

Other(including postal and courier)...............................................................................................

Transport, debit........................................................................................................

Passenger.........................................................................................................................

Freight...........................................................................................................................

Other(including postal and courier)...............................................................................................

Travel, credit........................................................................................................................

Business travel...................................................................................................................

Personal travel...................................................................................................................

Travel, debit.........................................................................................................................

Business travel...................................................................................................................

Personal travel...................................................................................................................

Other services, credit................................................................................................................

Construction .....................................................................................................................

Insurance and pension services....................................................................................................

Financial services2................................................................................................................

Charges for the use of intel. property n.i.e......................................................................................

Telecom., computer, and information services .....................................................................................

Other business services...........................................................................................................

Personal, cultural, and recreational services.....................................................................................

Government goods and services n.i.e...............................................................................................

Other services, debit.................................................................................................................

Construction......................................................................................................................

Insurance and pension services....................................................................................................

Financial services2................................................................................................................

Charges for the use of intel. property n.i.e......................................................................................

Telecom., computer, and information services .....................................................................................

Other business services...........................................................................................................

Personal, cultural, and recreational services.....................................................................................

Government goods and services n.i.e...............................................................................................

1 For goods acquired in other economies for processing abroad and sold abroad after processing in other economies, data from 2012 onwards are recorded

under general merchandise, while data before 2012 are recorded under net exports of goods under merchanting.

2 Financial intermediation services indirectly measured (FISIM) are recorded under financial services from 2012 onwards.

2004 2005 2006 2007 2008 2009 2010 2011 2012 2013

17,263 14,948 23,157 32,044 24,794 40,662 36,726 37,914 42,925 49,937

10,086 10,190 17,492 25,677 17,596 30,272 25,838 28,396 30,916 39,381

208,605 224,485 253,537 280,304 292,666 235,510 315,390 355,665 424,777 421,162

198,519 214,295 236,045 254,627 275,070 205,238 289,552 327,269 393,861 381,781

24,870 24,510 31,431 38,464 29,126 39,372 36,886 39,648 49,290 54,578

192,657 206,348 234,757 258,273 269,326 215,006 288,727 325,022 390,231 384,701

182,761 198,570 223,983 246,616 254,745 202,207 273,394 306,935 377,983 372,277

9,848 7,698 10,450 11,201 13,465 11,063 13,566 15,133 11,027 11,776

48 80 324 456 1,116 1,736 1,767 2,954 1,221 648

167,787 181,838 203,326 219,809 240,200 175,634 251,841 285,374 340,941 330,123

166,965 180,780 202,057 218,220 238,477 173,942 249,567 282,782 338,790 328,164

822 1,058 1,269 1,589 1,723 1,692 2,274 2,592 2,151 1,959

-14,784 -14,320 -13,939 -12,787 -11,530 -9,100 -11,048 -11,252 -18,374 -15,197

15,948 18,137 18,780 22,031 23,340 20,504 26,663 30,643 34,546 36,461

30,732 32,457 32,719 34,818 34,870 29,604 37,711 41,895 52,920 51,658

.... .... .... .... .... .... .... .... 1,354 1,462

.... .... .... .... .... .... .... .... 9,013 7,405

62 71 91 109 107 46 30 42 68 76

180 338 306 308 282 244 537 790 698 672

5,252 5,871 6,195 8,727 9,120 6,311 9,747 9,691 9,987 10,061

616 763 820 1,061 1,219 1,140 1,666 2,002 2,345 2,459

4,205 4,663 4,913 7,219 7,450 4,780 7,684 7,269 7,229 7,224

431 445 462 447 451 391 397 420 413 378

7,968 8,095 8,717 9,579 10,856 7,551 9,369 9,453 9,756 9,837

1,206 1,365 1,660 1,659 1,594 868 1,343 1,589 1,814 1,848

4,050 3,997 4,251 4,677 5,685 3,851 4,929 4,780 4,861 4,838

2,712 2,733 2,806 3,243 3,577 2,832 3,097 3,084 3,081 3,151

4,054 4,977 5,136 5,213 5,937 6,816 8,721 11,065 11,770 12,323

1,323 1,464 1,464 1,388 1,451 1,341 1,607 1,941 1,569 1,550

2,731 3,513 3,672 3,825 4,486 5,475 7,114 9,124 10,201 10,773

8,170 8,682 8,746 9,070 9,116 7,800 9,357 10,112 10,630 12,310

2,040 2,251 2,388 2,492 2,437 1,857 2,050 2,212 2,227 2,187

6,130 6,431 6,358 6,578 6,679 5,943 7,307 7,900 8,403 10,123

6,580 7,218 7,358 7,982 8,176 7,331 8,165 9,845 11,367 12,539

152 121 152 199 235 294 355 348 451 495

382 365 478 339 302 255 299 362 384 316

1,142 1,517 1,232 1,302 1,146 727 847 909 1,750 2,058

290 234 244 220 191 242 460 838 932 1,017

430 415 435 418 463 468 601 810 1,091 1,378

3,891 4,252 4,329 5,141 5,460 4,892 5,252 6,165 6,385 6,837

49 61 76 71 99 87 98 136 154 203

244 253 412 292 280 366 253 277 220 235

14,414 15,342 14,950 15,861 14,616 14,009 18,448 21,540 22,823 21,434

558 376 295 371 235 86 241 233 570 670

1,205 967 913 1,064 963 710 839 1,054 1,055 1,001

884 1,370 1,409 801 347 348 216 273 414 527

1,677 1,796 2,321 2,575 3,015 3,424 4,943 5,788 5,681 5,197

719 803 687 680 671 722 866 1,010 1,168 1,180

8,261 8,669 8,063 9,328 8,368 7,822 10,381 12,240 12,944 11,940

238 301 199 205 184 196 215 237 279 258

872 1,060 1,063 837 833 701 747 705 712 661

Page 4: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Current account.......................................................................................................................................

Goods and services................................................................................................................................

Total credit..................................................................................................................................

Total debit...................................................................................................................................

Goods.........................................................................................................................................

Credit....................................................................................................................................

General merchandise:export..........................................................................................................

Net exports of goods under merchanting................................................................................................

Nonmonetary gold:export.............................................................................................................

Debit.....................................................................................................................................

General merchandise:import..........................................................................................................

Nonmonetary gold:import.............................................................................................................

Services......................................................................................................................................

Total credit..............................................................................................................................

Total debit...............................................................................................................................

Manufacturing services, credit........................................................................................................

Manufacturing services, debit.........................................................................................................

Maintenance and repair services n.i.e., credit.........................................................................................

Maintenance and repair services n.i.e., debit..........................................................................................

Transport, credit.......................................................................................................

Passenger.........................................................................................................................

Freight...........................................................................................................................

Other(including postal and courier)...............................................................................................

Transport, debit........................................................................................................

Passenger.........................................................................................................................

Freight...........................................................................................................................

Other(including postal and courier)...............................................................................................

Travel, credit........................................................................................................................

Business travel...................................................................................................................

Personal travel...................................................................................................................

Travel, debit.........................................................................................................................

Business travel...................................................................................................................

Personal travel...................................................................................................................

Other services, credit................................................................................................................

Construction .....................................................................................................................

Insurance and pension services....................................................................................................

Financial services2................................................................................................................

Charges for the use of intel. property n.i.e......................................................................................

Telecom., computer, and information services .....................................................................................

Other business services...........................................................................................................

Personal, cultural, and recreational services.....................................................................................

Government goods and services n.i.e...............................................................................................

Other services, debit.................................................................................................................

Construction......................................................................................................................

Insurance and pension services....................................................................................................

Financial services2................................................................................................................

Charges for the use of intel. property n.i.e......................................................................................

Telecom., computer, and information services .....................................................................................

Other business services...........................................................................................................

Personal, cultural, and recreational services.....................................................................................

Government goods and services n.i.e...............................................................................................

1 For goods acquired in other economies for processing abroad and sold abroad after processing in other economies, data from 2012 onwards are recorded

under general merchandise, while data before 2012 are recorded under net exports of goods under merchanting.

2 Financial intermediation services indirectly measured (FISIM) are recorded under financial services from 2012 onwards.

2014 2015 2016 2017

60,607 72,730 71,222 83,053

48,905 62,320 60,436 72,495

423,831 380,805 350,574 387,919

374,926 318,485 290,138 315,424

60,249 73,139 70,960 81,258

382,253 339,837 309,283 342,706

369,144 324,430 296,477 327,535

12,264 14,067 12,218 14,672

845 1,340 588 499

322,004 266,698 238,323 261,448

320,128 264,963 236,757 259,956

1,876 1,735 1,566 1,492

-11,344 -10,819 -10,524 -8,763

41,578 40,968 41,291 45,213

52,922 51,787 51,815 53,976

1,635 1,620 2,033 2,586

5,220 4,485 3,572 3,630

240 376 832 1,318

832 773 860 974

10,990 9,779 8,819 10,020

2,805 2,600 2,450 2,532

7,753 6,832 6,009 7,100

432 347 360 388

10,326 10,107 10,958 11,327

1,956 1,886 2,655 2,484

4,797 4,408 4,447 4,773

3,573 3,813 3,856 4,070

14,614 14,387 13,375 12,315

1,249 1,149 1,016 948

13,365 13,238 12,359 11,367

13,997 15,502 16,574 18,018

2,305 2,492 2,564 2,546

11,692 13,010 14,010 15,472

14,099 14,806 16,232 18,974

977 795 1,204 1,464

321 255 278 409

2,421 2,422 2,608 2,884

866 1,190 1,235 1,698

1,754 2,032 2,380 2,846

7,249 7,545 7,877 8,975

231 250 312 348

280 317 338 350

22,547 20,920 19,851 20,027

1,008 883 1,184 1,481

942 772 700 1,014

586 741 872 1,338

5,276 5,543 5,290 3,761

1,230 1,234 1,339 1,737

12,557 10,862 9,578 9,755

254 252 220 261

694 633 668 680

Page 5: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

1984 1985 1986 1987 1988 1989 1990 1991 1992 1993

Primary income................................................................................................................................757 1,184 2,034 2,311 3,406 3,816 4,362 5,055 4,799 4,322

Total credit..............................................................................................................................1,881 2,207 2,950 3,826 5,316 6,653 6,917 7,429 7,467 6,802

Total debit...............................................................................................................................1,124 1,023 916 1,515 1,910 2,837 2,555 2,374 2,668 2,480

Compensation of employees, credit.........................................................................................................107 92 75 67 56 55 39 129 140 128

Compensation of employees, debit..........................................................................................................18 23 24 37 50 62 65 92 119 142

Investment income, credit.................................................................................................................1,774 2,115 2,875 3,759 5,260 6,598 6,878 7,298 7,327 6,674

Direct investment income..............................................................................................................19 17 31 20 21 94 93 100 153 225

Income on equity and investment fund shares........................................................................................... .... .... .... .... .... .... .... .... ....

Divid. and withdr. from income of quasi-corp. .................................................................................... .... .... .... .... .... .... .... .... ....

Reinvested earnings............................................................................................................... .... .... .... .... .... .... .... .... ....

Interest.............................................................................................................................. .... .... .... .... .... .... .... .... ....

Portfolio investment income............................................................................................................... .... .... .... .... .... .... .... .... ....

Inv. income on equity and invest. fund shares......................................................................................... .... .... .... .... .... .... .... .... ....

Interest.............................................................................................................................. .... .... .... .... .... .... .... .... ....

Other investment income...............................................................................................................1,755 2,098 2,844 3,739 5,239 6,504 6,785 7,198 7,174 6,449

Investment income, debit..................................................................................................................1,106 1,000 892 1,478 1,860 2,775 2,490 2,282 2,549 2,338

Direct investment income..............................................................................................................218 213 185 377 597 990 841 805 948 928

Income on equity and investment fund shares........................................................................................... .... .... .... .... .... .... .... .... ....

Dirvidends and withdr. from income of quasi-crop.................................................................................. .... .... .... .... .... .... .... .... ....

Reinvested earnings............................................................................................................... .... .... .... .... .... .... .... .... ....

Interest.............................................................................................................................. .... .... .... .... .... .... .... .... ....

Portfolio investment income............................................................................................................... .... .... .... .... .... .... .... .... ....

Investment income on equity and invest. fund shares................................................................................... .... .... .... .... .... .... .... .... ....

Interest.............................................................................................................................. .... .... .... .... .... .... .... .... ....

Other investment income...............................................................................................................888 787 707 1,101 1,263 1,785 1,649 1,477 1,601 1,410

Other primary income, credit..............................................................................................................- - - - - - - 2 - -

Other primary income, debit...............................................................................................................- - - - - - - - - -

Secondary income..............................................................................................................................-185 -257 -315 -718 -1,922 -2,107 -596 161 161 -834

Credit....................................................................................................................................115 121 197 470 939 1,617 1,644 1,802 2,200 1,831

General government........................................................................................................................ .... .... .... .... .... .... .... .... ....

Other sectors.........................................................................................................................115 121 197 470 939 1,617 1,644 1,802 2,200 1,831

Personal transfers ...............................................................................................................17 17 46 107 154 235 420 652 945 1,235

Other current transfers...........................................................................................................98 104 151 363 785 1,382 1,224 1,150 1,255 596

Debit.....................................................................................................................................300 378 512 1,188 2,861 3,724 2,240 1,641 2,039 2,665

General government....................................................................................................................16 18 13 16 20 21 22 52 64 53

Other sectors.........................................................................................................................284 360 499 1,172 2,841 3,703 2,218 1,589 1,975 2,612

Personal transfers ................................................................................................................... .... .... .... .... .... .... 889 1,467 2,059

Other current transfers...........................................................................................................284 360 499 1,172 2,841 3,703 2,218 700 508 553

Capital account........................................................................................................................................... .... .... .... .... .... .... .... .... ....

Total credit.......................................................................................................................................... .... .... .... .... .... .... .... .... ....

Total debit........................................................................................................................................... .... .... .... .... .... .... .... .... ....

Gross dispos. of nonprod. nonfin. assets, credit.................................................................................................. .... .... .... .... .... .... .... .... ....

Gross acquis. of nonprod. nonfin. assets, debit................................................................................................... .... .... .... .... .... .... .... .... ....

Capital transfers, credit......................................................................................................................... .... .... .... .... .... .... .... .... ....

General government............................................................................................................................ .... .... .... .... .... .... .... .... ....

Other sectors................................................................................................................................. .... .... .... .... .... .... .... .... ....

Capital transfers, debit.......................................................................................................................... .... .... .... .... .... .... .... .... ....

General government............................................................................................................................ .... .... .... .... .... .... .... .... ....

Other sectors................................................................................................................................. .... .... .... .... .... .... .... .... ....

Page 6: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Primary income................................................................................................................................

Total credit..............................................................................................................................

Total debit...............................................................................................................................

Compensation of employees, credit.........................................................................................................

Compensation of employees, debit..........................................................................................................

Investment income, credit.................................................................................................................

Direct investment income..............................................................................................................

Income on equity and investment fund shares.......................................................................................

Divid. and withdr. from income of quasi-corp. ................................................................................

Reinvested earnings...........................................................................................................

Interest..........................................................................................................................

Portfolio investment income...........................................................................................................

Inv. income on equity and invest. fund shares.....................................................................................

Interest..........................................................................................................................

Other investment income...............................................................................................................

Investment income, debit..................................................................................................................

Direct investment income..............................................................................................................

Income on equity and investment fund shares.......................................................................................

Dirvidends and withdr. from income of quasi-crop..............................................................................

Reinvested earnings...........................................................................................................

Interest..........................................................................................................................

Portfolio investment income...........................................................................................................

Investment income on equity and invest. fund shares...............................................................................

Interest..........................................................................................................................

Other investment income...............................................................................................................

Other primary income, credit..............................................................................................................

Other primary income, debit...............................................................................................................

Secondary income..............................................................................................................................

Credit....................................................................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

Personal transfers ...............................................................................................................

Other current transfers...........................................................................................................

Debit.....................................................................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

Personal transfers ...............................................................................................................

Other current transfers...........................................................................................................

Capital account.......................................................................................................................................

Total credit......................................................................................................................................

Total debit.......................................................................................................................................

Gross dispos. of nonprod. nonfin. assets, credit..............................................................................................

Gross acquis. of nonprod. nonfin. assets, debit...............................................................................................

Capital transfers, credit.....................................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

Capital transfers, debit......................................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

1994 1995 1996 1997 1998 1999 2000 2001 2002 2003

4,064 4,188 3,988 3,113 2,032 2,780 4,419 5,650 6,898 9,448

7,125 8,119 6,652 6,910 6,455 6,933 9,115 9,294 10,219 12,878

3,061 3,931 2,664 3,797 4,423 4,153 4,696 3,644 3,321 3,430

118 142 171 263 234 285 274 240 222 216

192 256 341 457 609 680 744 615 536 576

6,959 7,938 6,409 6,576 6,153 6,561 8,707 8,852 9,960 12,633

142 174 211 279 364 322 537 861 1,143 1,796

.... .... 211 278 364 321 535 861 1,142 1,796

.... .... 210 278 364 321 535 861 1,142 1,796

.... .... 1 - - - - - - -

.... .... - 1 - 1 2 - 1 -

8 14 30 50 56 141 94 120 230 535

.... .... 26 47 49 133 79 110 192 408

.... .... 4 3 7 8 15 10 38 127

6,809 7,750 6,168 6,247 5,733 6,098 8,076 7,871 8,587 10,302

2,869 3,675 2,298 3,339 3,809 3,465 3,949 3,015 2,779 2,846

1,096 1,223 1,406 1,527 1,578 1,736 1,729 2,136 1,731 1,946

.... .... 1,402 1,527 1,577 1,733 1,728 2,136 1,731 1,946

.... .... 958 925 946 1,084 1,207 1,774 1,489 1,687

.... .... 444 602 631 649 521 362 242 259

.... .... 4 - 1 3 1 - - -

23 - 20 714 1,045 724 904 294 822 588

.... .... 17 711 1,045 724 903 247 765 561

.... .... 3 3 - - 1 47 57 27

1,750 2,452 872 1,098 1,186 1,005 1,316 585 226 312

48 39 72 71 68 87 134 202 37 29

- - 25 1 5 8 3 14 6 8

-1,550 -2,912 -2,487 -2,209 -1,527 -2,317 -2,604 -2,721 -2,479 -2,703

2,168 2,312 2,498 2,898 2,943 3,126 3,202 2,620 2,634 2,689

.... .... 27 79 104 105 140 98 75 46

2,168 2,312 2,471 2,819 2,839 3,021 3,062 2,522 2,559 2,643

1,438 1,573 1,731 2,066 2,117 2,139 1,915 1,677 1,717 1,734

730 739 740 753 722 882 1,147 845 842 909

3,718 5,224 4,985 5,107 4,470 5,443 5,806 5,341 5,113 5,392

53 58 59 54 50 59 42 41 45 73

3,665 5,166 4,926 5,053 4,420 5,384 5,764 5,300 5,068 5,319

2,977 4,560 4,304 4,487 3,914 4,804 5,080 4,657 4,472 4,713

688 606 622 566 506 580 684 643 596 606

.... .... .... .... .... .... .... -41 -43 -18

.... .... .... .... .... .... .... - 1 1

.... .... .... .... .... .... .... 41 44 19

.... .... .... .... .... .... .... - 1 1

.... .... .... .... .... .... .... 41 44 19

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

Page 7: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Primary income................................................................................................................................

Total credit..............................................................................................................................

Total debit...............................................................................................................................

Compensation of employees, credit.........................................................................................................

Compensation of employees, debit..........................................................................................................

Investment income, credit.................................................................................................................

Direct investment income..............................................................................................................

Income on equity and investment fund shares.......................................................................................

Divid. and withdr. from income of quasi-corp. ................................................................................

Reinvested earnings...........................................................................................................

Interest..........................................................................................................................

Portfolio investment income...........................................................................................................

Inv. income on equity and invest. fund shares.....................................................................................

Interest..........................................................................................................................

Other investment income...............................................................................................................

Investment income, debit..................................................................................................................

Direct investment income..............................................................................................................

Income on equity and investment fund shares.......................................................................................

Dirvidends and withdr. from income of quasi-crop..............................................................................

Reinvested earnings...........................................................................................................

Interest..........................................................................................................................

Portfolio investment income...........................................................................................................

Investment income on equity and invest. fund shares...............................................................................

Interest..........................................................................................................................

Other investment income...............................................................................................................

Other primary income, credit..............................................................................................................

Other primary income, debit...............................................................................................................

Secondary income..............................................................................................................................

Credit....................................................................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

Personal transfers ...............................................................................................................

Other current transfers...........................................................................................................

Debit.....................................................................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

Personal transfers ...............................................................................................................

Other current transfers...........................................................................................................

Capital account.......................................................................................................................................

Total credit......................................................................................................................................

Total debit.......................................................................................................................................

Gross dispos. of nonprod. nonfin. assets, credit..............................................................................................

Gross acquis. of nonprod. nonfin. assets, debit...............................................................................................

Capital transfers, credit.....................................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

Capital transfers, debit......................................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

2004 2005 2006 2007 2008 2009 2010 2011 2012 2013

10,984 9,001 9,581 10,132 9,978 12,524 13,576 13,179 14,593 13,520

15,337 17,356 19,338 23,500 23,277 20,351 23,265 24,833 25,022 24,609

4,353 8,355 9,757 13,368 13,299 7,827 9,689 11,654 10,429 11,089

232 266 295 350 364 376 406 507 565 637

521 497 406 363 383 323 361 455 417 368

15,069 17,032 18,972 23,080 22,857 19,950 22,840 24,280 24,388 23,887

2,934 3,788 3,355 4,997 5,599 4,478 5,083 5,298 5,181 6,177

2,934 3,788 3,355 4,997 5,554 4,478 5,083 5,298 5,181 6,177

2,932 3,786 3,355 3,747 2,952 3,597 4,265 3,974 4,102 4,491

2 2 - 1,250 2,602 881 818 1,324 1,079 1,686

- - - - 45 - - - - -

1,068 1,039 1,028 1,450 1,312 893 1,470 1,367 1,776 2,445

793 754 714 957 716 630 1,205 1,115 1,510 2,231

275 285 314 493 596 263 265 252 266 214

11,067 12,205 14,589 16,633 15,946 14,579 16,287 17,615 17,431 15,265

3,825 7,830 9,336 12,988 12,886 7,489 9,318 11,101 9,805 10,524

2,207 4,056 3,812 4,110 4,335 3,551 4,884 5,024 5,771 5,474

2,207 4,056 3,812 4,110 4,309 3,510 4,842 4,990 5,736 5,455

2,147 3,605 3,719 3,545 3,664 3,741 4,446 4,729 5,465 5,415

60 451 93 565 645 -231 396 261 271 40

- - - - 26 41 42 34 35 19

851 1,933 2,384 5,158 5,920 3,070 3,897 5,353 3,373 3,977

775 1,918 2,368 5,125 5,917 2,986 3,827 5,342 3,373 3,974

76 15 16 33 3 84 70 11 - 3

767 1,841 3,140 3,720 2,631 868 537 724 661 1,073

36 58 71 70 56 25 19 46 69 85

7 28 15 17 30 15 10 98 207 197

-3,807 -4,243 -3,916 -3,765 -2,780 -2,134 -2,688 -3,661 -2,584 -2,964

3,188 3,484 3,856 4,708 5,537 4,956 5,300 5,596 5,540 6,218

90 55 29 139 87 46 21 14 24 59

3,098 3,429 3,827 4,569 5,450 4,910 5,279 5,582 5,516 6,159

1,860 2,026 2,209 2,488 2,960 2,858 2,570 2,699 2,716 3,202

1,238 1,403 1,618 2,081 2,490 2,052 2,709 2,883 2,800 2,957

6,995 7,727 7,772 8,473 8,317 7,090 7,988 9,257 8,124 9,182

96 58 69 88 106 46 135 68 74 59

6,899 7,669 7,703 8,385 8,211 7,044 7,853 9,189 8,050 9,123

6,133 6,805 6,874 7,114 6,403 5,392 5,830 5,977 6,171 6,871

766 864 829 1,271 1,808 1,652 2,023 3,212 1,879 2,252

-2 -46 -63 -25 -270 -50 -49 -36 -24 67

6 1 4 3 3 2 5 3 4 103

8 47 67 28 273 52 54 39 28 36

6 1 4 3 3 2 5 3 4 103

8 47 67 28 273 52 54 39 28 36

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

Page 8: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Primary income................................................................................................................................

Total credit..............................................................................................................................

Total debit...............................................................................................................................

Compensation of employees, credit.........................................................................................................

Compensation of employees, debit..........................................................................................................

Investment income, credit.................................................................................................................

Direct investment income..............................................................................................................

Income on equity and investment fund shares.......................................................................................

Divid. and withdr. from income of quasi-corp. ................................................................................

Reinvested earnings...........................................................................................................

Interest..........................................................................................................................

Portfolio investment income...........................................................................................................

Inv. income on equity and invest. fund shares.....................................................................................

Interest..........................................................................................................................

Other investment income...............................................................................................................

Investment income, debit..................................................................................................................

Direct investment income..............................................................................................................

Income on equity and investment fund shares.......................................................................................

Dirvidends and withdr. from income of quasi-crop..............................................................................

Reinvested earnings...........................................................................................................

Interest..........................................................................................................................

Portfolio investment income...........................................................................................................

Investment income on equity and invest. fund shares...............................................................................

Interest..........................................................................................................................

Other investment income...............................................................................................................

Other primary income, credit..............................................................................................................

Other primary income, debit...............................................................................................................

Secondary income..............................................................................................................................

Credit....................................................................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

Personal transfers ...............................................................................................................

Other current transfers...........................................................................................................

Debit.....................................................................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

Personal transfers ...............................................................................................................

Other current transfers...........................................................................................................

Capital account.......................................................................................................................................

Total credit......................................................................................................................................

Total debit.......................................................................................................................................

Gross dispos. of nonprod. nonfin. assets, credit..............................................................................................

Gross acquis. of nonprod. nonfin. assets, debit...............................................................................................

Capital transfers, credit.....................................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

Capital transfers, debit......................................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

2014 2015 2016 2017

14,458 13,779 13,956 14,695

29,212 28,893 29,480 34,239

14,754 15,114 15,524 19,544

678 693 746 863

358 434 604 658

28,441 28,098 28,621 33,218

7,282 7,316 7,342 9,630

7,282 7,316 7,335 9,630

5,926 5,822 6,220 8,672

1,356 1,494 1,115 958

- - 7 -

2,331 2,457 3,643 3,086

2,158 2,227 2,215 2,283

173 230 1,428 803

18,828 18,325 17,636 20,502

14,134 14,433 14,605 18,601

8,696 7,107 6,779 8,345

8,669 7,087 6,768 8,338

8,136 6,898 6,658 7,945

533 189 110 393

27 20 11 7

4,060 5,779 5,997 7,447

4,059 5,767 5,952 7,442

1 12 45 5

1,378 1,547 1,829 2,809

93 102 113 158

262 247 315 285

-2,756 -3,369 -3,170 -4,137

6,698 6,617 6,909 7,189

75 75 60 67

6,623 6,542 6,849 7,122

3,271 3,285 3,352 3,532

3,352 3,257 3,497 3,590

9,454 9,986 10,079 11,326

75 83 75 82

9,379 9,903 10,004 11,244

7,258 7,316 7,468 8,444

2,121 2,587 2,536 2,800

-8 -5 -9 -12

29 15 17 14

37 20 26 26

29 15 17 14

37 20 26 26

.... .... .... ....

.... .... .... ....

.... .... .... ....

.... .... .... ....

.... .... .... ....

.... .... .... ....

Page 9: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

1984 1985 1986 1987 1988 1989 1990 1991 1992 1993

Financial account3.....................................................................................................................................6,578 9,697 16,380 17,698 9,981 11,351 11,232 11,887 8,277 6,170

Direct investment..................................................................................................................................-127 -263 -261 -10 3,160 5,347 3,913 784 1,088 1,694

Net acquistion of financial assets............................................................................................................72 79 65 705 4,121 6,951 5,243 2,055 1,967 2,611

Equity and investment fund shares.........................................................................................................72 79 65 705 4,121 6,923 5,149 1,854 1,869 2,451

Equity other than reinvestment of earmings............................................................................................68 79 57 705 4,120 6,923 5,149 1,854 1,863 2,386

Reinvestment of earnings..............................................................................................................4 - 8 - 1 - - - 6 65

Debt instruments..........................................................................................................................- - - - - 28 94 201 98 160

Net incurrence of liabilities.................................................................................................................199 342 326 715 961 1,604 1,330 1,271 879 917

Equity and investment fund shares.........................................................................................................209 322 326 771 985 1,615 1,325 1,242 820 836

Equity other than reinvestment of earmings............................................................................................122 254 272 620 761 1,119 1,007 956 456 553

Reinvestment of earnings..............................................................................................................87 68 54 151 224 496 318 286 364 283

Debt instruments..........................................................................................................................-10 20 - -56 -24 -11 5 29 59 81

Portfolio investment..............................................................................................................................50 46 -71 372 1,712 902 1,006 -45 -412 -1,077

Net acquistion of financial assets............................................................................................................- - 4 363 1,171 967 937 741 737 1,322

Equity and investment fund shares.........................................................................................................- - - 361 880 387 557 513 774 1,069

Central bank.............................................................................................................................. .... .... .... .... .... .... .... .... ....

Deposit-taking corporations, exc. the CBC................................................................................................. .... .... .... .... .... .... .... .... ....

General government........................................................................................................................ .... .... .... .... .... .... .... .... ....

Other sectors ............................................................................................................................ .... .... .... .... .... .... .... .... ....

of which:Other financial corporations............................................................................................... .... .... .... .... .... .... .... .... ....

Debt securities...........................................................................................................................- - 4 2 291 580 380 228 -37 253

Central bank.............................................................................................................................. .... .... .... .... .... .... .... .... ....

Deposit-taking corporations, exc. the CBC................................................................................................. .... .... .... .... .... .... .... .... ....

Short-term............................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term............................................................................................................................. .... .... .... .... .... .... .... .... ....

General government........................................................................................................................ .... .... .... .... .... .... .... .... ....

Other sectors............................................................................................................................. .... .... .... .... .... .... .... .... ....

Short-term............................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term............................................................................................................................. .... .... .... .... .... .... .... .... ....

of which:Other financial corporations........................................................................................... .... .... .... .... .... .... .... .... ....

Short-term.................................................................................................................... .... .... .... .... .... .... .... .... ....

Long-term..................................................................................................................... .... .... .... .... .... .... .... .... ....

Net incurrence of liabilities.................................................................................................................-50 -46 75 -9 -541 65 -69 786 1,149 2,399

Equity and investment fund shares.........................................................................................................40 -1 75 -9 -537 -31 -65 548 815 2,181

Central bank.............................................................................................................................. .... .... .... .... .... .... .... .... ....

Deposit-taking corporations, exc. the CBC................................................................................................. .... .... .... .... .... .... .... .... ....

General government........................................................................................................................ .... .... .... .... .... .... .... .... ....

Other sectors............................................................................................................................. .... .... .... .... .... .... .... .... ....

of which:Ohter financial corporations............................................................................................... .... .... .... .... .... .... .... .... ....

Debt securities...........................................................................................................................-90 -45 - - -4 96 -4 238 334 218

Central bank.............................................................................................................................. .... .... .... .... .... .... .... .... ....

Deposit-taking corporations, exc. the CBC................................................................................................. .... .... .... .... .... .... .... .... ....

Short-term............................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term............................................................................................................................. .... .... .... .... .... .... .... .... ....

General government........................................................................................................................ .... .... .... .... .... .... .... .... ....

Short-term............................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term............................................................................................................................. .... .... .... .... .... .... .... .... ....

3

Includes reserve assets and is different from that shown in the analytic presentation tables.

Page 10: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Financial account3.....................................................................................................................................

Direct investment..................................................................................................................................

Net acquistion of financial assets............................................................................................................

Equity and investment fund shares.........................................................................................................

Equity other than reinvestment of earmings............................................................................................

Reinvestment of earnings..............................................................................................................

Debt instruments..........................................................................................................................

Net incurrence of liabilities.................................................................................................................

Equity and investment fund shares.........................................................................................................

Equity other than reinvestment of earmings............................................................................................

Reinvestment of earnings..............................................................................................................

Debt instruments..........................................................................................................................

Portfolio investment..............................................................................................................................

Net acquistion of financial assets............................................................................................................

Equity and investment fund shares.........................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

General government....................................................................................................................

Other sectors ........................................................................................................................

of which:Other financial corporations...........................................................................................

Debt securities...........................................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

of which:Other financial corporations.......................................................................................

Short-term................................................................................................................

Long-term.................................................................................................................

Net incurrence of liabilities.................................................................................................................

Equity and investment fund shares.........................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

of which:Ohter financial corporations...........................................................................................

Debt securities...........................................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

General government....................................................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

3

Includes reserve assets and is different from that shown in the analytic presentation tables.

1994 1995 1996 1997 1998 1999 2000 2001 2002 2003

6,019 4,259 9,735 6,554 2,315 9,348 10,447 21,655 30,120 29,357

1,265 1,424 1,979 2,995 3,614 1,494 1,773 1,371 3,441 5,229

2,640 2,983 3,843 5,243 3,836 4,420 6,701 5,480 4,886 5,682

2,460 2,692 3,434 4,820 3,674 4,033 6,380 5,393 4,815 5,635

2,457 2,687 3,433 4,820 3,674 4,033 6,380 5,393 4,815 5,635

3 5 1 - - - - - - -

180 291 409 423 162 387 321 87 71 47

1,375 1,559 1,864 2,248 222 2,926 4,928 4,109 1,445 453

1,293 1,679 1,988 2,273 261 2,995 5,014 4,099 1,363 395

862 1,280 1,544 1,671 -370 2,346 4,493 3,737 1,121 136

431 399 444 602 631 649 521 362 242 259

82 -120 -124 -25 -39 -69 -86 10 82 58

-944 -552 959 7,702 2,288 -9,336 224 228 8,826 5,197

1,958 2,177 4,215 6,456 4,136 4,577 9,780 11,347 15,442 34,763

1,474 2,121 3,239 4,628 3,893 5,058 9,265 8,649 9,142 9,850

.... .... - - - - - - - -

.... .... .... 111 -8 850 245 650 231 -126

.... .... - - - - - - - -

.... .... 3,239 4,517 3,901 4,208 9,020 7,999 8,911 9,976

.... .... .... .... .... .... .... .... .... ....

484 56 976 1,828 243 -481 515 2,698 6,300 24,913

.... .... - - - - - - - -

.... .... 856 1,482 53 -653 49 333 826 1,388

.... .... 567 172 22 -534 175 36 276 170

.... .... 289 1,310 31 -119 -126 297 550 1,218

.... .... - - - - - - - -

.... .... 120 346 190 172 466 2,365 5,474 23,525

.... .... 35 186 68 103 87 638 1,108 3,614

.... .... 85 160 122 69 379 1,727 4,366 19,911

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

2,902 2,729 3,256 -1,246 1,848 13,913 9,556 11,119 6,616 29,566

1,545 2,073 2,185 -2,232 1,553 14,765 8,489 11,298 3,636 25,197

.... .... - - - - - - - -

.... .... 457 -119 -208 1,568 -296 803 934 3,283

.... .... - - - - - - - -

.... .... 1,728 -2,113 1,761 13,197 8,785 10,495 2,702 21,914

.... .... .... .... .... .... .... .... .... ....

1,357 656 1,071 986 295 -852 1,067 -179 2,980 4,369

.... .... - - - - - - - -

.... .... 344 205 204 -53 -153 -463 2,158 798

.... .... 342 -95 -96 -53 -76 - 25 -25

.... .... 2 300 300 - -77 -463 2,133 823

.... .... -55 -5 -3 27 -23 -5 1 168

.... .... - - - - - - - -

.... .... -55 -5 -3 27 -23 -5 1 168

Page 11: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Financial account3.....................................................................................................................................

Direct investment..................................................................................................................................

Net acquistion of financial assets............................................................................................................

Equity and investment fund shares.........................................................................................................

Equity other than reinvestment of earmings............................................................................................

Reinvestment of earnings..............................................................................................................

Debt instruments..........................................................................................................................

Net incurrence of liabilities.................................................................................................................

Equity and investment fund shares.........................................................................................................

Equity other than reinvestment of earmings............................................................................................

Reinvestment of earnings..............................................................................................................

Debt instruments..........................................................................................................................

Portfolio investment..............................................................................................................................

Net acquistion of financial assets............................................................................................................

Equity and investment fund shares.........................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

General government....................................................................................................................

Other sectors ........................................................................................................................

of which:Other financial corporations...........................................................................................

Debt securities...........................................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

of which:Other financial corporations.......................................................................................

Short-term................................................................................................................

Long-term.................................................................................................................

Net incurrence of liabilities.................................................................................................................

Equity and investment fund shares.........................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

of which:Ohter financial corporations...........................................................................................

Debt securities...........................................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

General government....................................................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

3

Includes reserve assets and is different from that shown in the analytic presentation tables.

2004 2005 2006 2007 2008 2009 2010 2011 2012 2013

20,908 20,705 25,687 34,912 27,915 40,638 40,512 38,266 46,949 52,371

5,247 4,403 -25 3,338 4,855 3,072 9,082 14,723 9,930 10,687

7,145 6,028 7,399 11,107 10,287 5,877 11,574 12,766 13,137 14,285

7,102 5,971 6,863 11,157 10,320 5,901 11,634 12,669 13,153 14,282

7,100 5,969 6,863 9,907 7,718 5,020 10,816 11,345 12,074 12,596

2 2 - 1,250 2,602 881 818 1,324 1,079 1,686

43 57 536 -50 -33 -24 -60 97 -16 3

1,898 1,625 7,424 7,769 5,432 2,805 2,492 -1,957 3,207 3,598

1,943 1,493 7,034 6,738 4,874 3,685 2,779 -2,012 3,341 3,643

1,871 1,032 6,657 6,097 4,197 3,338 2,380 -2,336 3,054 3,570

72 461 377 641 677 347 399 324 287 73

-45 132 390 1,031 558 -880 -287 55 -134 -45

4,669 2,857 18,965 40,062 12,250 10,327 20,664 35,691 42,496 29,129

21,823 33,902 40,779 44,966 -3,527 31,699 33,487 19,503 45,710 37,082

8,167 12,464 18,467 35,697 4,573 21,197 12,274 2,078 16,933 6,095

- - - - - - - - - -

52 95 -1,054 55 -46 230 692 89 223 631

- - - - - - - - - -

8,115 12,369 19,521 35,642 4,619 20,967 11,582 1,989 16,710 5,464

.... .... .... .... .... .... .... .... 13,730 7,200

13,656 21,438 22,312 9,269 -8,100 10,502 21,213 17,425 28,777 30,987

- - - - - - - - - -

-302 3,444 2,602 1,288 -839 1,966 2,066 -994 4,150 4,859

-412 -3 -350 28 -15 188 215 -45 1,845 -1,161

110 3,447 2,952 1,260 -824 1,778 1,851 -949 2,305 6,020

- - - - - - - - - -

13,958 17,994 19,710 7,981 -7,261 8,536 19,147 18,419 24,627 26,128

1,683 1,313 690 754 725 1,037 372 1,221 655 1,229

12,275 16,681 19,020 7,227 -7,986 7,499 18,775 17,198 23,972 24,899

.... .... .... .... .... .... .... .... 23,449 23,010

.... .... .... .... .... .... .... .... 641 903

.... .... .... .... .... .... .... .... 22,808 22,107

17,154 31,045 21,814 4,904 -15,777 21,372 12,823 -16,188 3,214 7,953

14,092 34,826 22,662 5,599 -15,418 19,427 9,986 -14,924 2,908 9,591

- - - - - - - - - -

6,260 2,162 3,278 -480 -510 2,901 -327 -1,930 101 7,935

- - - - - - - - - -

7,832 32,664 19,384 6,079 -14,908 16,526 10,313 -12,994 2,807 1,656

.... .... .... .... .... .... .... .... 892 288

3,062 -3,781 -848 -695 -359 1,945 2,837 -1,264 306 -1,638

- - - - - - - - - -

-591 -1,292 335 -594 -132 -417 -453 -46 629 -265

- - - - - 8 -8 - - -

-591 -1,292 335 -594 -132 -425 -445 -46 629 -265

323 -289 -34 153 1,196 4,287 1,760 -3,605 -1,367 -910

- - - - - - - 5 -1 -

323 -289 -34 153 1,196 4,287 1,760 -3,610 -1,366 -910

Page 12: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Financial account3.....................................................................................................................................

Direct investment..................................................................................................................................

Net acquistion of financial assets............................................................................................................

Equity and investment fund shares.........................................................................................................

Equity other than reinvestment of earmings............................................................................................

Reinvestment of earnings..............................................................................................................

Debt instruments..........................................................................................................................

Net incurrence of liabilities.................................................................................................................

Equity and investment fund shares.........................................................................................................

Equity other than reinvestment of earmings............................................................................................

Reinvestment of earnings..............................................................................................................

Debt instruments..........................................................................................................................

Portfolio investment..............................................................................................................................

Net acquistion of financial assets............................................................................................................

Equity and investment fund shares.........................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

General government....................................................................................................................

Other sectors ........................................................................................................................

of which:Other financial corporations...........................................................................................

Debt securities...........................................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

of which:Other financial corporations.......................................................................................

Short-term................................................................................................................

Long-term.................................................................................................................

Net incurrence of liabilities.................................................................................................................

Equity and investment fund shares.........................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

General government....................................................................................................................

Other sectors.........................................................................................................................

of which:Ohter financial corporations...........................................................................................

Debt securities...........................................................................................................................

Central bank..........................................................................................................................

Deposit-taking corporations, exc. the CBC.............................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

General government....................................................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

3

Includes reserve assets and is different from that shown in the analytic presentation tables.

2014 2015 2016 2017

63,546 79,983 69,153 87,474

9,883 12,318 8,254 8,151

12,711 14,709 17,946 11,552

12,690 13,649 16,913 10,736

11,334 12,155 15,798 9,778

1,356 1,494 1,115 958

21 1,060 1,033 816

2,828 2,391 9,692 3,401

2,933 2,478 7,342 4,781

2,309 2,286 7,229 4,388

624 192 113 393

-105 -87 2,350 -1,380

44,041 55,112 77,120 77,839

57,096 56,340 81,463 81,797

20,328 6,922 6,445 13,755

- - - -

367 -34 -94 -13

- - - -

19,961 6,956 6,539 13,768

13,975 8,563 7,015 13,131

36,768 49,418 75,018 68,042

- - - -

634 10,678 15,453 11,649

-841 665 1,377 726

1,475 10,013 14,076 10,923

- - - -

36,134 38,740 59,565 56,393

1,980 378 595 345

34,154 38,362 58,970 56,048

30,226 37,721 58,765 52,499

1,669 384 585 327

28,557 37,337 58,180 52,172

13,055 1,228 4,343 3,958

13,792 3,744 7,025 4,284

- - - -

1,535 687 1,928 -4,454

- - - -

12,257 3,057 5,097 8,738

19 513 743 -963

-737 -2,516 -2,682 -326

- - - -

1,245 -726 -1,859 5

- - - -

1,245 -726 -1,859 5

-340 -671 -80 -881

- - - -

-340 -671 -80 -881

Page 13: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

1984 1985 1986 1987 1988 1989 1990 1991 1992 1993

Other sectors............................................................................................................................. .... .... .... .... .... .... .... .... ....

Short-term............................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term............................................................................................................................. .... .... .... .... .... .... .... .... ....

of which:Ohter financial corporations........................................................................................... .... .... .... .... .... .... .... .... ....

Short-term.................................................................................................................... .... .... .... .... .... .... .... .... ....

Long-term..................................................................................................................... .... .... .... .... .... .... .... .... ....

Financial derivatives...................................................................................................... .... .... .... .... .... .... .... -32 10

Net acquisition of financial assets............................................................................................................... .... .... .... .... .... .... .... -38 -

Central bank..............................................................................................................................- - - - - - - - - -

Deposit-taking corporations, exc. the CBC..................................................................................................... .... .... .... .... .... .... .... .... ....

General government........................................................................................................................- - - - - - - - - -

Other sectors................................................................................................................................. .... .... .... .... .... .... .... -38 -

of which: Other financial corporations.................................................................................................... .... .... .... .... .... .... .... -38 -

Net incurrence of liabilities..................................................................................................................... .... .... .... .... .... .... .... -6 -10

Central bank..............................................................................................................................- - - - - - - - - -

Deposit-taking corporations, exc. the CBC..................................................................................................... .... .... .... .... .... .... .... .... ....

General government........................................................................................................................- - - - - - - - - -

Other sectors................................................................................................................................. .... .... .... .... .... .... .... -6 -10

of which: Other financial corporations.................................................................................................... .... .... .... .... .... .... .... -6 -10

Other investment..................................................................................................................................2,682 3,388 -6,610 -10,757 6,501 5,882 10,231 1,489 6,266 4,002

Net acquisition of financial assets...........................................................................................................1,879 2,709 -2,436 -1,127 4,932 7,264 15,564 4,615 7,059 7,248

Other equity..............................................................................................................................2 2 2 2 - - - - - -

Debt instruments..........................................................................................................................1,877 2,707 -2,438 -1,129 4,932 7,264 15,564 4,615 7,059 7,248

Currency and deposits.................................................................................................................83 -4 142 266 855 1,108 2,625 1,928 2,096 516

Central bank......................................................................................................................- - - - - - - - - -

Deposit-taking corporations, exc. the CBC............................................................................................. .... .... .... .... .... .... .... .... ....

Short-term........................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term......................................................................................................................... .... .... .... .... .... .... .... .... ....

General government................................................................................................................- - - - - - - - - -

Other sectors.....................................................................................................................83 -4 142 266 855 1,108 2,625 1,928 2,096 516

Short-term....................................................................................................................83 -4 142 266 855 1,108 2,625 1,928 2,096 516

Long-term.....................................................................................................................- - - - - - - - - -

of which: Other financial corporations........................................................................................ .... .... .... .... .... .... .... .... ....

Short-term................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term................................................................................................................. .... .... .... .... .... .... .... .... ....

Loans.................................................................................................................................7 8 - 8 5 - 2 -244 -291 -640

Central bank......................................................................................................................- - - - - - - - - -

Deposit-taking corporations, exc. the CBC............................................................................................. .... .... .... .... .... .... .... .... ....

Short-term........................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term......................................................................................................................... .... .... .... .... .... .... .... .... ....

General government................................................................................................................7 8 - 8 5 - 2 30 33 1

Credit and loans with the IMF.................................................................................................- - - - - - - - - -

Other short-term..............................................................................................................- - - - - - - - - -

Other long-term...............................................................................................................7 8 - 8 5 - 2 30 33 1

Other sectors......................................................................................................................... .... .... .... .... .... .... -274 -324 -641

Short-term........................................................................................................................ .... .... .... .... .... .... -274 -324 -641

Long-term......................................................................................................................... .... .... .... .... .... .... - - -

of which: Other financial corporations........................................................................................ .... .... .... .... .... .... .... .... ....

Short-term................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term................................................................................................................. .... .... .... .... .... .... .... .... ....

Page 14: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Other sectors.........................................................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

of which:Ohter financial corporations.......................................................................................

Short-term................................................................................................................

Long-term.................................................................................................................

Financial derivatives..................................................................................................

Net acquisition of financial assets...........................................................................................................

Central bank..............................................................................................................................

Deposit-taking corporations, exc. the CBC.................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

of which: Other financial corporations................................................................................................

Net incurrence of liabilities.................................................................................................................

Central bank..............................................................................................................................

Deposit-taking corporations, exc. the CBC.................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

of which: Other financial corporations................................................................................................

Other investment..................................................................................................................................

Net acquisition of financial assets...........................................................................................................

Other equity..............................................................................................................................

Debt instruments..........................................................................................................................

Currency and deposits.................................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

Loans.................................................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Credit and loans with the IMF.................................................................................................

Other short-term..............................................................................................................

Other long-term...............................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

1994 1995 1996 1997 1998 1999 2000 2001 2002 2003

.... .... 782 786 94 -826 1,243 289 821 3,403

.... .... 110 -51 -55 -69 63 -80 -5 31

.... .... 672 837 149 -757 1,180 369 826 3,372

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

39 59 86 242 107 232 255 1,034 127 108

-7 -40 -84 -592 -343 -283 -465 -568 -515 -632

- - - - - - - - - -

.... .... .... -342 -10 -6 -46 - - -51

- - - - - - - - - -

-7 -40 -84 -250 -333 -277 -419 -568 -515 -581

-7 -40 -52 -32 -56 -39 -60 -23 -33 -138

-46 -99 -170 -834 -450 -515 -720 -1,602 -642 -740

- - - - - - - - - -

.... .... .... -304 -48 -3 -45 -5 - -123

- - - - - - - - - -

-46 -99 -170 -530 -402 -512 -675 -1,597 -642 -617

-46 -99 -80 -110 -103 -102 -180 -1 -5 -11

1,037 7,259 5,609 -3,657 -8,521 -1,635 5,718 1,669 -15,938 -18,269

7,512 8,064 11,695 1,291 -3,494 -2,334 8,368 4,928 -7,735 -3,939

- - - - - - - - - -

7,512 8,064 11,695 1,291 -3,494 -2,334 8,368 4,928 -7,735 -3,939

356 1,675 5,310 -3,227 -1,380 212 9,248 2,827 -7,113 -1,903

- - - - - - - - - -

.... .... 2,979 -2,789 -312 876 7,248 1,541 -4,129 1,462

.... .... 2,979 -2,789 -312 876 7,248 1,541 -4,129 1,462

.... .... - - - - - - - -

- - - - - - - - - -

356 1,675 2,331 -438 -1,068 -664 2,000 1,286 -2,984 -3,365

356 1,675 2,331 -438 -1,068 -664 2,000 1,286 -2,984 -3,365

- - - - - - - - - -

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

-811 -1,180 1,230 798 1,133 -1,746 3,573 832 -1,593 -827

- - - - - - - - - -

.... .... 2,784 2,628 2,913 217 5,750 3,228 1,023 1,938

.... .... 1,855 1,388 2,057 -1,977 4,932 3,498 2,088 2,268

.... .... 929 1,240 856 2,194 818 -270 -1,065 -330

25 44 40 21 10 11 13 -8 -2 -33

- - - - - - - - - -

- - - - - - - - - -

25 44 40 21 10 11 13 -8 -2 -33

-836 -1,224 -1,594 -1,851 -1,790 -1,974 -2,190 -2,388 -2,614 -2,732

-836 -1,224 -1,594 -1,851 -1,798 -1,975 -2,190 -2,387 -2,598 -2,726

- - - - 8 1 - -1 -16 -6

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

Page 15: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Other sectors.........................................................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

of which:Ohter financial corporations.......................................................................................

Short-term................................................................................................................

Long-term.................................................................................................................

Financial derivatives..................................................................................................

Net acquisition of financial assets...........................................................................................................

Central bank..............................................................................................................................

Deposit-taking corporations, exc. the CBC.................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

of which: Other financial corporations................................................................................................

Net incurrence of liabilities.................................................................................................................

Central bank..............................................................................................................................

Deposit-taking corporations, exc. the CBC.................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

of which: Other financial corporations................................................................................................

Other investment..................................................................................................................................

Net acquisition of financial assets...........................................................................................................

Other equity..............................................................................................................................

Debt instruments..........................................................................................................................

Currency and deposits.................................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

Loans.................................................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Credit and loans with the IMF.................................................................................................

Other short-term..............................................................................................................

Other long-term...............................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

2004 2005 2006 2007 2008 2009 2010 2011 2012 2013

3,330 -2,200 -1,149 -254 -1,423 -1,925 1,530 2,387 1,044 -463

-23 -7 6 63 -78 -14 - - - -

3,353 -2,193 -1,155 -317 -1,345 -1,911 1,530 2,387 1,044 -463

.... .... .... .... .... .... .... .... 86 12

.... .... .... .... .... .... .... .... - -

.... .... .... .... .... .... .... .... 86 12

695 965 965 289 -1,589 -852 -577 -1,038 -391 -838

-1,036 -947 -1,930 -3,691 -7,938 -5,344 -4,497 -5,777 -4,771 -6,055

- - - - - - - - - -

-138 -250 -839 -2,072 -4,152 -3,165 -2,320 -2,608 -2,384 -3,626

- - - - - - - - - -

-898 -697 -1,091 -1,619 -3,786 -2,179 -2,177 -3,169 -2,387 -2,429

-310 -173 -442 -943 -2,365 -1,195 -1,177 -1,668 -1,712 -1,698

-1,731 -1,912 -2,895 -3,980 -6,349 -4,492 -3,920 -4,739 -4,380 -5,217

- - - - - - - - - -

-211 -100 -1,007 -1,823 -3,433 -2,179 -2,044 -2,237 -1,855 -2,682

- - - - - - - - - -

-1,520 -1,812 -1,888 -2,157 -2,916 -2,313 -1,876 -2,502 -2,525 -2,535

-231 -144 -801 -1,130 -1,649 -1,036 -568 -1,101 -1,862 -1,550

-16,299 -7,576 -304 -4,757 -13,875 -26,035 -28,830 -17,349 -20,570 2,075

895 8,646 1,266 6,847 -10,621 -25,663 -12,317 7,988 -5,348 47,469

- - - - - - - - 3 7

895 8,646 1,266 6,847 -10,621 -25,663 -12,317 7,988 -5,351 47,462

847 -1,818 -448 682 -13,372 -27,993 -7,873 -11,506 -14,201 18,418

- - - - - - - - - -

4,340 -3,127 1,259 433 8,051 -7,309 3,342 5,051 -3,902 35,437

4,340 -3,127 1,259 433 8,051 -7,309 3,342 5,051 -3,902 35,437

- - - - - - - - - -

- - - - - - - - - -

-3,493 1,309 -1,707 249 -21,423 -20,684 -11,215 -16,557 -10,299 -17,019

-3,493 1,309 -1,707 249 -21,423 -20,684 -11,215 -16,557 -10,299 -17,019

- - - - - - - - - -

.... .... .... .... .... .... .... .... 835 1,168

.... .... .... .... .... .... .... .... 835 1,168

.... .... .... .... .... .... .... .... - -

-3,044 4,412 255 5,313 6,032 4,198 -4,469 14,866 3,094 16,575

- - - - - - - - - -

109 6,482 3,307 8,798 11,075 8,406 -3,151 16,924 3,973 15,757

-1,280 5,625 1,586 5,116 4,845 8,862 -7,962 7,220 -2,828 9,453

1,389 857 1,721 3,682 6,230 -456 4,811 9,704 6,801 6,304

-32 - 4 -11 -7 2 -13 13 -6 -6

- - - - - - - - - -

- - - - - - - - - -

-32 - 4 -11 -7 2 -13 13 -6 -6

-3,121 -2,070 -3,056 -3,474 -5,036 -4,210 -1,305 -2,071 -873 824

-3,121 -2,067 -3,048 -3,469 -5,034 -4,208 -1,303 -2,071 -865 825

- -3 -8 -5 -2 -2 -2 - -8 -1

.... .... .... .... 135 3 -1 -2 -22 -16

.... .... .... .... 135 3 -1 -2 -15 -16

.... .... .... .... - - - - -7 -

Page 16: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Other sectors.........................................................................................................................

Short-term........................................................................................................................

Long-term.........................................................................................................................

of which:Ohter financial corporations.......................................................................................

Short-term................................................................................................................

Long-term.................................................................................................................

Financial derivatives..................................................................................................

Net acquisition of financial assets...........................................................................................................

Central bank..............................................................................................................................

Deposit-taking corporations, exc. the CBC.................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

of which: Other financial corporations................................................................................................

Net incurrence of liabilities.................................................................................................................

Central bank..............................................................................................................................

Deposit-taking corporations, exc. the CBC.................................................................................................

General government........................................................................................................................

Other sectors.............................................................................................................................

of which: Other financial corporations................................................................................................

Other investment..................................................................................................................................

Net acquisition of financial assets...........................................................................................................

Other equity..............................................................................................................................

Debt instruments..........................................................................................................................

Currency and deposits.................................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

Loans.................................................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Credit and loans with the IMF.................................................................................................

Other short-term..............................................................................................................

Other long-term...............................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

2014 2015 2016 2017

-1,642 -1,119 -743 550

- - - -

-1,642 -1,119 -743 550

-59 -128 -20 11

- - - -

-59 -128 -20 11

-546 2,195 1,700 -503

-5,977 -11,227 -11,166 -11,505

- - - -

-3,438 -5,524 -5,366 -3,870

- - - -

-2,539 -5,703 -5,800 -7,635

-1,790 -5,292 -5,421 -6,997

-5,431 -13,422 -12,866 -11,002

- - - -

-2,602 -5,253 -4,722 -2,741

- - - -

-2,829 -8,169 -8,144 -8,261

-2,365 -5,773 -6,389 -7,006

-2,847 -4,653 -28,584 -10,480

11,939 -16,526 -6,936 15,610

8 8 9 6

11,931 -16,534 -6,945 15,604

-3,328 -16,616 -3,373 20,789

- - - -

23,713 -2,335 7,437 13,901

23,713 -2,335 7,437 13,901

- - - -

- - - -

-27,041 -14,281 -10,810 6,888

-27,041 -14,281 -10,810 6,888

- - - -

-3,576 -761 -816 -3,907

-3,576 -761 -816 -3,907

- - - -

8,784 3,206 5,843 -973

- - - -

7,590 2,194 4,310 -1,392

2,840 2,690 5,157 -2,413

4,750 -496 -847 1,021

-16 1 -3 -12

- - - -

- - - -

-16 1 -3 -12

1,210 1,011 1,536 431

1,212 1,014 1,537 435

-2 -3 -1 -4

19 150 34 -31

19 150 34 -31

- - - -

Page 17: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

1984 1985 1986 1987 1988 1989 1990 1991 1992 1993

Trade credit and advances.............................................................................................................79 98 23 13 101 86 374 332 2,671 1,915

General government................................................................................................................- - - - - - - - - -

Other sectors.....................................................................................................................79 98 23 13 101 86 374 332 2,671 1,915

Short-term....................................................................................................................67 101 34 37 115 69 358 326 2,580 1,967

Long-term.....................................................................................................................12 -3 -11 -24 -14 17 16 6 91 -52

of which: Other financial corporations....................................................................................- - - - - - - - - -

Other accounts receivable.............................................................................................................1,708 2,605 -2,603 -1,416 3,971 6,070 12,563 2,599 2,583 5,457

Central bank......................................................................................................................- - - - - - - - - -

Deposit-taking corporations, exc. the CBC.........................................................................................1,723 2,623 -1,716 -992 2,220 2,474 5,235 -895 -1,808 1,109

Short-term....................................................................................................................1,723 2,623 -1,716 -992 2,220 2,474 5,235 -895 -1,808 1,109

Long-term.....................................................................................................................- - - - - - - - - -

General government................................................................................................................- - - - - - - - - -

Other sectors.....................................................................................................................-15 -18 -887 -424 1,751 3,596 7,328 3,494 4,391 4,348

Short-term....................................................................................................................-15 -18 -887 -814 644 2,469 5,404 1,313 1,310 1,788

Long-term.....................................................................................................................- - - 390 1,107 1,127 1,924 2,181 3,081 2,560

of which: Other financial corporations........................................................................................ .... .... .... .... .... .... .... .... ....

Short-term................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term................................................................................................................. .... .... .... .... .... .... .... .... ....

Net incurrence of liabilities.................................................................................................................-803 -679 4,174 9,630 -1,569 1,382 5,333 3,126 793 3,246

Other equity..............................................................................................................................- - - - - - - - - -

Debt instruments..........................................................................................................................-803 -679 4,174 9,630 -1,569 1,382 5,333 3,126 793 3,246

Currency and deposits.................................................................................................................1 1 1 1 - - - - - -

Central bank......................................................................................................................- - - - - - - - - -

Deposit-taking corporations, exc. the CBC.........................................................................................- - - - - - - - - -

Short-term....................................................................................................................- - - - - - - - - -

Long-term.....................................................................................................................- - - - - - - - - -

General government................................................................................................................1 1 1 1 - - - - - -

Other sectors.....................................................................................................................- - - - - - - - - -

Loans.................................................................................................................................-1,185 -1,230 -1,921 -1,773 -1,145 -1,371 -1,270 -1,142 -1,181 -1,278

Central bank......................................................................................................................- - - - - - - - - -

Credit and loans with the IMF.................................................................................................- - - - - - - - - -

Other short-term..............................................................................................................- - - - - - - - - -

Other long-term...............................................................................................................- - - - - - - - - -

Deposit-taking corporations, exc. the CBC.........................................................................................-276 -198 -168 -198 49 151 181 48 268 -33

Short-term........................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term.....................................................................................................................-276 -198 -168 -198 49 151 181 48 268 -33

General government................................................................................................................-111 -132 -53 -45 -39 -32 4 -39 -20 -23

Credit and loans with the IMF.................................................................................................- - - - - - - - - -

Other short-term..............................................................................................................- - - - - - - - - -

Other long-term...............................................................................................................-111 -132 -53 -45 -39 -32 4 -39 -20 -23

Other sectors.....................................................................................................................-798 -900 -1,700 -1,530 -1,155 -1,490 -1,455 -1,151 -1,429 -1,222

Short-term....................................................................................................................- - - - -886 -1,091 -1,525 -1,016 -1,142 -1,192

Long-term.....................................................................................................................-798 -900 -1,700 -1,530 -269 -399 70 -135 -287 -30

of which: Other financial corporations........................................................................................ .... .... .... .... .... .... .... .... ....

Short-term................................................................................................................ .... .... .... .... .... .... .... .... ....

Long-term................................................................................................................. .... .... .... .... .... .... .... .... ....

Page 18: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Trade credit and advances.............................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Other accounts receivable.............................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

Net incurrence of liabilities.................................................................................................................

Other equity..............................................................................................................................

Debt instruments..........................................................................................................................

Currency and deposits.................................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Loans.................................................................................................................................

Central bank......................................................................................................................

Credit and loans with the IMF.................................................................................................

Other short-term..............................................................................................................

Other long-term...............................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Credit and loans with the IMF.................................................................................................

Other short-term..............................................................................................................

Other long-term...............................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

1994 1995 1996 1997 1998 1999 2000 2001 2002 2003

1,276 860 -436 -656 -4,384 -3,335 -4,329 -1,922 402 -410

- - - - - - - - - -

1,276 860 -436 -656 -4,384 -3,335 -4,329 -1,922 402 -410

1,307 842 -453 -623 -4,368 -3,335 -4,329 -1,922 402 -410

-31 18 17 -33 -16 - - - - -

- - - - - - - - - -

6,691 6,709 5,591 4,376 1,137 2,535 -124 3,191 569 -799

- - - - - - - - - -

3,007 1,689 -636 1,798 -1,158 -170 -2,893 2,572 84 -1,406

3,007 1,689 -636 1,798 -1,158 -170 -2,893 2,572 84 -1,406

- - - - - - - - - -

- - - - - - - - - -

3,684 5,020 6,227 2,578 2,295 2,705 2,769 619 485 607

1,250 1,942 3,527 960 1,335 1,832 1,619 142 111 330

2,434 3,078 2,700 1,618 960 873 1,150 477 374 277

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

.... .... .... .... .... .... .... .... .... ....

6,475 805 6,086 4,948 5,027 -699 2,650 3,259 8,203 14,330

- - - - - - - - - -

6,475 805 6,086 4,948 5,027 -699 2,650 3,259 8,203 14,330

- - 1,506 1,017 2,406 1,975 -226 2,876 4,454 10,164

- - - - - - - - - -

- - 1,506 1,017 2,406 1,975 -226 2,876 4,454 10,164

- - 1,506 1,017 2,406 1,975 -226 2,876 4,454 10,164

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

-520 916 1,097 3,257 2,519 -3,184 1,418 691 5,153 4,561

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

-62 447 -123 793 -591 -5,300 -1,504 -1,724 2,080 2,017

.... .... -381 699 -364 -5,378 -1,504 -1,724 2,080 2,017

-62 447 258 94 -227 78 - - - -

-16 -15 -14 -12 -10 -6 -6 -6 -6 -5

- - - - - - - - - -

- - - - - - - - - -

-16 -15 -14 -12 -10 -6 -6 -6 -6 -5

-442 484 1,234 2,476 3,120 2,122 2,928 2,421 3,079 2,549

-383 -529 675 2,213 1,238 2,657 2,578 2,210 3,150 2,474

-59 1,013 559 263 1,882 -535 350 211 -71 75

.... .... -93 -9 -4 -1 -1 2 1 -3

.... .... -93 -9 -4 -1 -1 2 1 -3

.... .... - - - - - - - -

Page 19: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Trade credit and advances.............................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Other accounts receivable.............................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

Net incurrence of liabilities.................................................................................................................

Other equity..............................................................................................................................

Debt instruments..........................................................................................................................

Currency and deposits.................................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Loans.................................................................................................................................

Central bank......................................................................................................................

Credit and loans with the IMF.................................................................................................

Other short-term..............................................................................................................

Other long-term...............................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Credit and loans with the IMF.................................................................................................

Other short-term..............................................................................................................

Other long-term...............................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

2004 2005 2006 2007 2008 2009 2010 2011 2012 2013

1,025 -446 318 126 -334 351 657 -607 -178 565

- - - - - - - - - -

1,025 -446 318 126 -334 351 657 -607 -178 565

1,025 -446 318 126 -334 351 657 -607 -178 565

- - - - - - - - - -

- - - - - - - - - -

2,067 6,498 1,141 726 -2,947 -2,219 -632 5,235 5,934 11,904

- - - - - - - - - -

2,305 6,066 959 927 -2,400 -1,804 -1,403 3,377 4,896 9,875

2,305 6,066 959 927 -2,400 -1,804 -1,403 3,377 4,896 9,875

- - - - - - - - - -

- - - - - - - - - -

-238 432 182 -201 -547 -415 771 1,858 1,038 2,029

-641 82 -188 -592 -836 -783 211 1,313 294 862

403 350 370 391 289 368 560 545 744 1,167

.... .... .... .... .... .... .... .... 189 310

.... .... .... .... .... .... .... .... 189 310

.... .... .... .... .... .... .... .... - -

17,194 16,222 1,570 11,604 3,254 372 16,513 25,337 15,222 45,394

- - - - - - - - - -

17,194 16,222 1,570 11,604 3,254 372 16,513 25,337 15,222 45,394

9,024 970 4,483 15,647 2,813 -11,223 12,031 12,847 4,740 23,003

- - - - - - - - - -

9,024 970 4,483 15,647 2,813 -11,223 12,031 12,847 4,740 23,001

9,024 970 4,483 15,647 2,813 -11,223 12,031 12,847 4,740 23,001

- - - - - - - - - -

- - - - - - - - - 2

- - - - - - - - - -

4,549 9,417 -2,136 -4,222 2,246 9,952 6,400 8,979 7,803 22,574

898 9,250 -3,311 -7,300 -3,116 - - - - -

- - - - - - - - - -

898 9,250 -3,311 -7,300 -3,116 - - - - -

- - - - - - - - - -

870 -788 -816 501 -1,601 1,571 5,206 6,570 3,369 19,247

870 -788 -816 501 -1,601 1,571 5,206 6,570 3,369 19,247

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

2,781 955 1,991 2,577 6,963 8,381 1,194 2,409 4,434 3,327

2,245 831 2,471 2,865 6,466 8,460 1,598 2,857 4,772 4,022

536 124 -480 -288 497 -79 -404 -448 -338 -695

933 -1,083 54 -94 120 2,475 -733 649 2,130 1,160

933 -1,083 54 -94 120 2,475 -733 649 2,130 1,160

- - - - - - - - - -

Page 20: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Trade credit and advances.............................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Other accounts receivable.............................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

Net incurrence of liabilities.................................................................................................................

Other equity..............................................................................................................................

Debt instruments..........................................................................................................................

Currency and deposits.................................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Loans.................................................................................................................................

Central bank......................................................................................................................

Credit and loans with the IMF.................................................................................................

Other short-term..............................................................................................................

Other long-term...............................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Credit and loans with the IMF.................................................................................................

Other short-term..............................................................................................................

Other long-term...............................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

2014 2015 2016 2017

-208 -899 -5,300 -2,359

- - - -

-208 -899 -5,300 -2,359

-208 -899 -5,300 -2,359

- - - -

- - - -

6,683 -2,225 -4,115 -1,853

- - - -

4,822 -3,091 -4,986 -4,013

4,822 -3,091 -4,986 -4,013

- - - -

- - - -

1,861 866 871 2,160

374 -514 -311 717

1,487 1,380 1,182 1,443

628 67 111 137

627 64 109 137

1 3 2 -

14,786 -11,873 21,648 26,090

- - - -

14,786 -11,873 21,648 26,090

10,797 -12,178 9,954 14,888

- - - -

10,795 -12,180 9,949 14,894

10,795 -12,180 9,949 14,894

- - - -

2 2 5 -6

- - - -

4,251 -259 8,020 11,807

- - - -

- - - -

- - - -

- - - -

-1,211 -3,736 5,144 8,553

-1,211 -3,736 5,144 8,553

- - - -

- - - -

- - - -

- - - -

- - - -

5,462 3,477 2,876 3,254

5,621 3,493 3,020 2,674

-159 -16 -144 580

2,635 1,133 2,720 2,500

2,635 1,133 2,720 2,500

- - - -

Page 21: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

1984 1985 1986 1987 1988 1989 1990 1991 1992 1993

Trade credit and advances.............................................................................................................40 353 711 2,956 -1,604 -539 -496 1,558 1,583 2,628

General government................................................................................................................- - - - - - - - - -

Other sectors.....................................................................................................................40 353 711 2,956 -1,604 -539 -496 1,558 1,583 2,628

Short-term....................................................................................................................40 353 711 3,034 -1,559 -450 -501 1,630 1,526 2,685

Long-term.....................................................................................................................- - - -78 -45 -89 5 -72 57 -57

of which: Other financial corporations....................................................................................- - - - - - - - - -

Other accounts payable.............................................................................................................341 197 5,383 8,446 1,180 3,292 7,099 2,710 391 1,896

Central bank......................................................................................................................- - - - - - - - - -

Deposit-taking corporations, exc. the CBC.........................................................................................341 197 5,383 7,977 -1,480 -1,078 836 1,789 -378 1,342

Short-term....................................................................................................................341 197 5,383 7,977 -1,480 -1,078 836 1,789 -378 1,342

Long-term.....................................................................................................................- - - - - - - - - -

General government................................................................................................................- - - - - - - - - -

Other sectors.....................................................................................................................- - - 469 2,660 4,370 6,263 921 769 554

Short-term....................................................................................................................- - - 469 2,660 4,370 6,263 869 722 516

Long-term.....................................................................................................................- - - - - - - 52 47 38

of which: Other financial corporations....................................................................................- - - - - - - - - -

Short-term............................................................................................................- - - - - - - - - -

Long-term.............................................................................................................- - - - - - - - - -

Special drawing rights................................................................................................................- - - - - - - - - -

Reserve assets4....................................................................................................................................3,973 6,526 23,322 28,093 -1,392 -780 -3,918 9,659 1,367 1,541

Monetary gold.................................................................................................................................- - - - - - - - - -

Special drawing rights........................................................................................................................- - - - - - - - - -

Reserve position in the IMF...................................................................................................................- - - - - - - - - -

Other reserve assets..........................................................................................................................3,973 6,526 23,322 28,093 -1,392 -780 -3,918 9,659 1,367 1,541

Net errors and omissions..............................................................................................................................-402 491 98 -347 -285 -152 318 -581 -273 -872

4 Data from 2004Q3 to 2009Q1 indicate reserve assets, while data beyond this period present net reserve assets.

Page 22: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Trade credit and advances.............................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Other accounts payable.............................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

Special drawing rights................................................................................................................

Reserve assets4....................................................................................................................................

Monetary gold.................................................................................................................................

Special drawing rights........................................................................................................................

Reserve position in the IMF...................................................................................................................

Other reserve assets..........................................................................................................................

Net errors and omissions..............................................................................................................................

4 Data from 2004Q3 to 2009Q1 indicate reserve assets, while data beyond this period present net reserve assets.

1994 1995 1996 1997 1998 1999 2000 2001 2002 2003

3,061 252 2,797 -94 580 1,669 1,473 135 374 440

- - - - - - - - - -

3,061 252 2,797 -94 580 1,669 1,473 135 374 440

2,981 129 2,756 -81 882 1,742 1,422 154 390 448

80 123 41 -13 -302 -73 51 -19 -16 -8

- - - - - - - - - -

3,934 -363 686 768 -478 -1,159 -15 -443 -1,778 -835

- - - - - - - - - -

3,803 -467 636 731 -411 -1,320 25 -516 -1,857 -790

3,803 -467 636 731 -411 -1,320 25 -516 -1,857 -790

- - - - - - - - - -

- - - - - - - - - -

131 104 50 37 -67 161 -40 73 79 -45

82 52 -9 -5 -90 145 -46 69 75 -48

49 52 59 42 23 16 6 4 4 3

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

4,622 -3,931 1,102 -728 4,827 18,593 2,477 17,353 33,664 37,092

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

4,622 -3,931 1,102 -728 4,827 18,593 2,477 17,353 33,664 37,092

-479 -1,215 -1,188 -222 -814 1,771 2,228 4,612 5,817 1,114

Page 23: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Trade credit and advances.............................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Other accounts payable.............................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

Special drawing rights................................................................................................................

Reserve assets4....................................................................................................................................

Monetary gold.................................................................................................................................

Special drawing rights........................................................................................................................

Reserve position in the IMF...................................................................................................................

Other reserve assets..........................................................................................................................

Net errors and omissions..............................................................................................................................

4 Data from 2004Q3 to 2009Q1 indicate reserve assets, while data beyond this period present net reserve assets.

2004 2005 2006 2007 2008 2009 2010 2011 2012 2013

-428 648 25 198 -1,472 654 226 314 -31 133

- - - - - - - - - -

-428 648 25 198 -1,472 654 226 314 -31 133

-412 701 34 199 -1,471 656 226 314 -31 133

-16 -53 -9 -1 -1 -2 - - - -

- - - - - - - - - -

4,049 5,187 -802 -19 -333 989 -2,144 3,197 2,710 -316

- - - - - - - - - -

4,063 5,161 -1,671 -29 -1,261 -105 -2,138 2,917 2,466 -857

4,063 5,161 -1,671 -29 -1,261 -105 -2,138 2,917 2,466 -857

- - - - - - - - - -

- - - - - - - - - -

-14 26 869 10 928 1,094 -6 280 244 541

-20 32 854 10 882 1,023 -116 182 173 188

6 -6 15 - 46 71 110 98 71 353

- - 19 19 19 19 19 19 19 21

- - - - - - - - - -

- - 19 19 19 19 19 19 19 21

- - - - - - - - - -

26,596 20,056 6,086 -4,020 26,274 54,126 40,173 6,239 15,484 11,318

- - - - - - - - - -

- - - - - - - - - -

- - - - - - - - - -

26,596 20,056 6,086 -4,020 26,274 54,126 40,173 6,239 15,484 11,318

3,647 5,803 2,593 2,893 3,391 26 3,835 388 4,048 2,367

Page 24: STANDARD PRESENTATION 1984 1985 1986 1987 1988 ......STANDARD PRESENTATION (In millions of U.S. dollars) 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993.....

STANDARD PRESENTATION

( In millions of U.S. dollars)

Trade credit and advances.............................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Other accounts payable.............................................................................................................

Central bank......................................................................................................................

Deposit-taking corporations, exc. the CBC.........................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

General government................................................................................................................

Other sectors.....................................................................................................................

Short-term....................................................................................................................

Long-term.....................................................................................................................

of which: Other financial corporations....................................................................................

Short-term............................................................................................................

Long-term.............................................................................................................

Special drawing rights................................................................................................................

Reserve assets4....................................................................................................................................

Monetary gold.................................................................................................................................

Special drawing rights........................................................................................................................

Reserve position in the IMF...................................................................................................................

Other reserve assets..........................................................................................................................

Net errors and omissions..............................................................................................................................

4 Data from 2004Q3 to 2009Q1 indicate reserve assets, while data beyond this period present net reserve assets.

2014 2015 2016 2017

-646 -263 5,446 3,203

- - - -

-646 -263 5,446 3,203

-646 -263 5,446 3,203

- - - -

- - - -

384 827 -1,772 -3,808

- - - -

54 531 -2,212 -4,298

54 531 -2,212 -4,298

- - - -

- - - -

330 296 440 490

123 185 205 305

207 111 235 185

26 -72 43 40

- - - -

26 -72 43 40

- - - -

13,015 15,011 10,663 12,467

- - - -

- - - -

- - - -

13,015 15,011 10,663 12,467

2,947 7,258 -2,060 4,433