Balance of payments in EUR - quarterly

QUARTERLY BALANCE OF PAYMENTS 2023

(preliminary data - 15.3.2024)

millions of EURI. Q 2023II. Q 2023III. Q 2023IV. Q 2023I. Q 2023I.-II. Q 2023I.-III. Q 2023I.-IV. Q 2023
1-Current account1539,9-838,715,4488,31539,9701,2716,61204,9
          credit60840,161922,756204,061304,360840,1122762,8178966,8240271,2
          debit59300,262761,456188,660816,159300,2122061,6178250,2239066,3
1.A-Goods and services4464,84568,92643,84323,24464,89033,711677,516000,7
          credit56342,756268,850489,755766,256342,7112611,5163101,2218867,4
          debit51877,951699,847845,951443,051877,9103577,7151423,7202866,7
1.A.a-Goods3409,33503,91519,43669,63409,36913,38432,712102,2
          exports47780,447217,941510,345645,647780,494998,3136508,6182154,2
          imports44371,043714,039990,941976,044371,088085,0128075,9170051,9
1.A.b-Services1055,41065,01124,4653,61055,42120,43244,93898,5
          credit8562,39050,88979,410120,68562,317613,226592,636713,2
          debit7506,97985,97855,09467,07506,915492,723347,732814,7
1.A.b.1-Manufacturing services on physical inputs owned by others577,7525,8512,7573,2577,71103,61616,32189,5
          credit660,7644,7604,9675,6660,71305,51910,42586,0
          debit83,0118,992,2102,483,0201,9294,1396,4
1.A.b.2-Maintenance and repair services n.i.e.32,235,790,4109,232,267,9158,3267,5
          credit184,2185,5242,6294,9184,2369,7612,3907,3
          debit151,9149,9152,3185,7151,9301,8454,1639,8
1.A.b.3-Transport35,7150,985,8176,535,7186,6272,4448,9
          credit2082,21983,11919,12061,62082,24065,35984,38046,0
          debit2046,61832,11833,21885,12046,63878,75711,97597,1
1.A.b.4-Travel237,6-6,739,7-114,6237,6230,8270,5155,9
          credit1646,81854,82044,91738,21646,83501,55546,47284,7
          debit1409,21861,52005,21852,81409,23270,75275,97128,7
1.A.b.5-Construction61,169,0123,1145,161,1130,1253,1398,3
          credit95,3121,6172,5199,495,3217,0389,4588,8
          debit34,352,649,454,334,386,9136,3190,5
1.A.b.6-Insurance and pension services-451,5-469,6-176,6-152,7-451,5-921,0-1097,7-1250,4
          credit72,362,496,1157,872,3134,7230,8388,6
          debit523,8532,0272,8310,5523,81055,71328,51639,0
1.A.b.7-Financial services-13,70,3-21,2-12,2-13,7-13,3-34,6-46,8
          credit146,7183,6192,9228,2146,7330,3523,1751,4
          debit160,4183,2214,1240,4160,4343,6557,7798,1
1.A.b.8-Charges for the use of intellectual property n.i.e.-207,4-121,2-282,1-329,6-207,4-328,6-610,6-940,3
          credit170,0220,8200,8290,7170,0390,8591,6882,3
          debit377,4341,9482,9620,4377,4719,31202,21822,6
1.A.b.9-Telecommunications, computer, and information services642,8771,7666,3579,6642,81414,52080,72660,4
          credit1621,51701,41557,01738,91621,53322,94879,96618,8
          debit978,7929,7890,71159,3978,71908,42799,23958,4
1.A.b.10-Other business services206,0168,7155,2-236,2206,0374,7529,8293,7
          credit1784,71965,91856,42642,01784,73750,65607,08249,0
          debit1578,71797,21701,22878,11578,73375,95077,27955,3
1.A.b.11-Personal, cultural, and recreational services-53,1-50,5-58,9-75,0-53,1-103,6-162,5-237,5
          credit94,0122,487,988,994,0216,4304,2393,1
          debit147,1172,9146,8163,9147,1319,9466,7630,6
1.A.b.12-Government goods and services n.i.e.-12,0-9,2-9,8-10,5-12,0-21,2-31,0-41,5
          credit3,84,74,53,63,88,513,016,6
          debit15,713,914,314,115,729,744,058,1
1.a.b.13-Services not allocated0,00,00,00,70,00,00,00,7
          credit0,00,00,00,70,00,00,00,7
          debit0,00,00,00,00,00,00,00,0
1.B-Primary income-2099,6-5257,7-2194,3-3686,0-2099,6-7357,3-9551,6-13237,6
          credit3490,83947,84357,83890,93490,87438,511796,415687,2
          debit5590,49205,46552,27576,85590,414795,821348,028924,8
1.B.1-Compensation of employees-122,390,188,2-91,1-122,3-32,256,0-35,2
          credit708,2878,2876,5749,5708,21586,42463,03212,4
          debit830,6788,1788,4840,6830,61618,62407,03247,6
1.B.2-Investment income-2439,2-5530,4-2205,1-3521,1-2439,2-7969,5-10174,7-13695,7
          credit2211,92824,33476,13126,32211,95036,28512,211638,6
          debit4651,08354,75681,26647,44651,013005,718686,925334,3
1.B.2.1-Direct investment-2860,5-6024,9-2729,1-4051,0-2860,5-8885,4-11614,5-15665,4
          credit946,11209,52003,41606,7946,12155,64159,05765,7
          debit3806,67234,44732,45657,73806,611041,015773,521431,2
1.B.2.2-Portfolio investment-38,8-197,14,90,7-38,8-235,9-231,0-230,4
          credit139,6172,6158,9161,7139,6312,2471,1632,8
          debit178,5369,6154,0161,1178,5548,1702,1863,1
1.B.2.3-Other investment-84,1-169,4-114,6-156,6-84,1-253,6-368,2-524,8
          credit581,8581,2680,1672,1581,81163,01843,12515,2
          debit666,0750,6794,8828,6666,01416,62211,43040,0
1.B.2.4-Reserve assets (Credit)544,3861,0633,7685,8544,31405,32039,02724,8
1.B.3-Other primary income461,9182,5-77,3-73,7461,9644,5567,1493,4
          credit570,7245,35,215,0570,7816,0821,2836,2
          debit108,862,782,688,8108,8171,5254,1342,9
1.C-Secondary income-825,3-150,0-434,1-149,0-825,3-975,2-1409,3-1558,3
          credit1006,61706,21356,41647,31006,62712,84069,35716,5
          debit1831,91856,11790,51796,21831,93688,15478,67274,8
2-Capital account514,62141,7169,5881,7514,62656,42825,83707,5
          credit6138,72769,0319,89692,36138,78907,79227,618919,9
          debit5624,1627,3150,38810,75624,16251,46401,715212,4
3-Financial account2601,6860,0601,41925,52601,63461,64063,05988,5
          assets-2699,11723,92537,44671,5-2699,1-975,21562,26233,7
          liabilities-5300,7863,91936,02746,0-5300,7-4436,8-2500,8245,2
3.1-Direct investment-1511,8-284,21471,0-371,9-1511,8-1795,9-324,9-696,8
          assets-413,31263,62504,33566,8-413,3850,33354,66921,5
          liabilities1098,51547,81033,33938,71098,52646,33679,67618,3
3.1.1.1-Equity other than reinvestment of earnings-9,0426,81212,11553,9-9,0417,81629,93183,8
          assets-75,4465,01337,61189,8-75,4389,61727,22917,0
          liabilities-66,438,1125,5-364,1-66,4-28,397,3-266,8
3.1.1.2-Reinvestment of earnings-2035,8-126,2-370,0-1967,2-2035,8-2162,1-2532,1-4499,3
          assets749,1716,71034,0975,8749,11465,82499,93475,6
          liabilities2785,0843,01404,02942,92785,03627,95032,07974,9
3.1.2-Debt instruments533,1-584,8629,041,4533,1-51,7577,3618,7
          assets-1087,081,9132,71401,3-1087,0-1005,1-872,4528,9
          liabilities-1620,1666,7-496,21359,8-1620,1-953,4-1449,7-89,8
3.2-Portfolio investment1243,4-1295,8-1629,65314,81243,4-52,4-1682,03632,8
          assets1373,9757,2109,1834,51373,92131,12240,23074,7
          liabilities130,52053,01738,7-4480,2130,52183,53922,2-558,1
3.2.1-Equity and investment fund shares938,2515,5-457,7134,3938,21453,8996,01130,4
          assets1088,6670,1-199,6488,51088,61758,81559,22047,7
          liabilities150,4154,6258,1354,2150,4305,0563,1917,3
3.2.2-Debt securities305,1-1811,3-1171,85180,5305,1-1506,2-2678,02502,4
          assets285,387,1308,7346,0285,3372,3681,01027,1
          liabilities-19,91898,41480,5-4834,5-19,91878,53359,1-1475,4
3.3-Financial derivatives (other than reserves) and employee stock options844,9-95,5-472,7-211,4844,9749,4276,765,2
          assets-1827,8-1825,3-1494,8-1765,7-1827,8-3653,2-5147,9-6913,6
          liabilities-2672,7-1729,8-1022,1-1554,3-2672,7-4402,6-5424,6-6978,9
3.4-Other investment5265,52429,3-234,2-5874,15265,57694,87460,61586,5
          assets1408,61422,2-48,1-1032,21408,62830,72782,71750,4
          liabilities-3856,9-1007,1186,14841,8-3856,9-4864,0-4677,9163,9
3.4.1-Other equity14,40,00,00,014,414,414,414,4
          assets14,40,00,00,014,414,414,414,4
          liabilities0,00,00,00,00,00,00,00,0
3.4.2-Currency and deposits-3364,3-127,9482,4-8985,2-3364,3-3492,2-3009,8-11995,0
          assets-1342,41834,6512,6-802,5-1342,4492,21004,8202,2
          liabilities2021,91962,530,38182,62021,93984,44014,612197,2
3.4.3-Loans6480,43599,5-136,13130,16480,410079,99943,813073,9
          assets1688,3600,7556,7-592,91688,32289,12845,82252,9
          liabilities-4792,1-2998,8692,9-3723,0-4792,1-7790,9-7098,0-10821,0
3.4.4-Insurance, pension, and standardized guarantee schemes215,7-142,4-44,1141,1215,773,329,2170,4
          assets0,00,00,00,00,00,00,00,1
          liabilities-215,7142,444,1-141,1-215,7-73,3-29,2-170,3
3.4.5-Trade credits and advances2641,0-1197,3-293,1-146,02641,01443,71150,61004,7
          assets997,4-974,4-1021,0418,9997,423,1-998,0-579,0
          liabilities-1643,6222,9-727,9564,9-1643,6-1420,7-2148,6-1583,7
3.4.6-Other accounts receivable/payable-721,8297,4-243,2-14,2-721,8-424,4-667,7-681,9
          assets50,8-38,8-96,4-55,850,812,0-84,4-140,2
          liabilities772,6-336,2146,8-41,6772,6436,4583,2541,6
3.4.7-Special drawing rights (Net incurrence of liabilities)0,00,00,00,00,00,00,00,0
3.5-Reserve assets-3240,4106,21466,83068,1-3240,4-3134,2-1667,41400,7
4.3-Net lending (+) / net borrowing (-) (balance from current and capital account)2054,51303,0184,91369,92054,53357,63542,44912,4
4.4-Net lending (+) / net borrowing (-) (balance from financial account)2601,6860,0601,41925,52601,63461,64063,05988,5
4.5-Net errors and omissions547,1-443,0416,5555,6547,1104,0520,61076,1

Note: Figures may not add up due to rounding.



The time series is available in the ARAD system