Balance of payments in EUR - quarterly

QUARTERLY BALANCE OF PAYMENTS 2025

(preliminary data - 16.3.2026)

millions of EURI. Q 2025II. Q 2025III. Q 2025IV. Q 2025I. Q 2025I.-II. Q 2025I.-III. Q 2025I.-IV. Q 2025
1-Current account4524,7-2202,4-393,1562,34524,72322,41929,32491,6
    credit63322,863627,662068,065231,463322,8126950,4189018,4254249,8
    debit58798,165829,962461,064669,258798,1124628,0187089,0251758,2
1.A-Goods and services6475,65169,74151,44406,96475,611645,315796,720203,6
    credit57620,458163,556706,759565,757620,4115783,9172490,6232056,3
    debit51144,852993,852555,355158,851144,8104138,6156693,9211852,8
1.A.a-Goods5058,54167,82871,73967,95058,59226,312098,016066,0
    exports47990,748170,045855,148104,347990,796160,7142015,8190120,1
    imports42932,244002,142983,444136,442932,286934,4129917,7174054,1
1.A.b-Services1417,11001,91279,7438,91417,12419,03698,74137,6
    credit9629,79993,610851,611461,49629,719623,230474,941936,3
    debit8212,68991,79572,011022,58212,617204,226776,237798,7
1.A.b.1-Manufacturing services on physical inputs owned by others569,6513,1477,6483,7569,61082,71560,32044,0
    credit669,6649,2594,1647,5669,61318,81912,92560,4
    debit99,9136,1116,5163,799,9236,1352,6516,3
1.A.b.2-Maintenance and repair services n.i.e.68,323,933,281,168,392,2125,4206,6
    credit274,8246,3271,5326,7274,8521,2792,71119,4
    debit206,5222,5238,3245,5206,5429,0667,3912,8
1.A.b.3-Transport284,4281,4260,8386,4284,4565,9826,61213,0
    credit2216,12289,02310,72452,92216,14505,16815,89268,8
    debit1931,72007,62049,92066,61931,73939,35989,28055,8
1.A.b.4-Travel40,028,136,616,540,068,1104,6121,1
    credit1861,12014,82819,72253,01861,13875,96695,68948,5
    debit1821,11986,72783,12236,51821,13807,86590,98827,4
1.A.b.5-Construction100,0106,9117,1172,3100,0206,9324,1496,4
    credit120,3147,8158,7229,7120,3268,1426,8656,5
    debit20,340,941,557,420,361,2102,7160,1
1.A.b.6-Insurance and pension services-151,8-136,6-136,4-141,8-151,8-288,4-424,7-566,5
    credit133,9145,2155,9185,4133,9279,1435,0620,3
    debit285,6281,8292,2327,2285,6567,5859,71186,9
1.A.b.7-Financial services-82,0-56,8-87,9-94,4-82,0-138,9-226,7-321,1
    credit191,3203,0206,3211,5191,3394,3600,6812,1
    debit273,3259,8294,2305,9273,3533,2827,41133,2
1.A.b.8-Charges for the use of intellectual property n.i.e.-290,5-309,8-264,2-384,0-290,5-600,3-864,4-1248,4
    credit201,9217,5202,1291,4201,9419,4621,5912,9
    debit492,4527,3466,2675,4492,41019,71485,92161,3
1.A.b.9-Telecommunications, computer, and information services645,7560,4723,7439,7645,71206,11929,82369,6
    credit1826,11884,51852,92063,91826,13710,75563,57627,5
    debit1180,41324,11129,11624,21180,42504,63633,75257,9
1.A.b.10-Other business services357,382,5223,7-410,8357,3439,8663,5252,8
    credit2050,52078,62169,82697,12050,54129,16298,98996,1
    debit1693,21996,11946,13107,91693,23689,35635,48743,3
1.A.b.11-Personal, cultural, and recreational services-119,5-83,0-97,3-102,9-119,5-202,5-299,8-402,7
    credit81,9109,9103,496,281,9191,9295,3391,5
    debit201,4192,9200,7199,1201,4394,4595,1794,2
1.A.b.12-Government goods and services n.i.e.-4,5-8,2-7,5-7,0-4,5-12,8-20,2-27,3
    credit2,07,66,56,02,09,616,122,1
    debit6,515,813,913,16,522,436,349,4
1.a.b.13-Services not allocated0,10,00,10,10,10,10,20,3
    credit0,10,00,10,10,10,10,20,3
    debit0,00,00,00,00,00,00,00,0
1.B-Primary income-1778,1-6962,9-3772,6-3350,0-1778,1-8741,0-12513,7-15863,7
    credit4146,44001,04293,84254,94146,48147,412441,216696,1
    debit5924,510963,98066,57604,95924,516888,424954,932559,7
1.B.1-Compensation of employees141,753,4120,376,7141,7195,1315,4392,1
    credit901,5835,3856,9870,7901,51736,82593,73464,4
    debit759,8781,9736,6794,0759,81541,72278,33072,3
1.B.2-Investment income-1847,1-6926,9-3808,7-3335,3-1847,1-8774,1-12582,7-15918,0
    credit3228,23160,33429,43376,93228,26388,69817,913194,8
    debit5075,410087,37238,06712,25075,415162,622400,729112,8
1.B.2.1-Direct investment-2600,2-7106,3-4317,6-3862,2-2600,2-9706,5-14024,1-17886,4
    credit1476,01668,61948,31840,01476,03144,65092,96932,8
    debit4076,28774,96265,95702,24076,212851,119117,024819,2
1.B.2.2-Portfolio investment-98,8-432,4-128,0-113,5-98,8-531,1-659,2-772,7
    credit207,3270,8237,7244,3207,3478,1715,9960,1
    debit306,1703,2365,7357,8306,11009,31375,01732,8
1.B.2.3-Other investment60,0104,5153,8145,060,0164,5318,3463,3
    credit753,1713,6760,2797,3753,11466,72226,93024,2
    debit693,1609,2606,4652,3693,11302,21908,62560,9
1.B.2.4-Reserve assets (Credit)791,8507,3483,2495,4791,81299,11782,32277,7
1.B.3-Other primary income-72,6-89,5-84,2-91,4-72,6-162,1-246,3-337,7
    credit16,75,37,67,316,722,029,636,9
    debit89,394,891,898,789,3184,1275,9374,6
1.C-Secondary income-172,8-409,2-771,8-494,6-172,8-581,9-1353,8-1848,3
    credit1556,01463,01067,41410,91556,03019,14086,55497,4
    debit1728,81872,21839,31905,41728,83601,05440,37345,7
2-Capital account749,4508,53242,2678,2749,41257,94500,15178,3
    credit838,8724,55402,58785,4838,81563,36965,815751,2
    debit89,4216,02160,38107,289,4305,42465,710573,0
3-Financial account4427,0-1419,91930,01097,34427,03007,14937,16034,4
    assets6429,0733,512307,37356,76429,07162,519469,826826,4
    liabilities2002,02153,410377,36259,32002,04155,414532,720792,0
3.1-Direct investment-2639,5-1462,9-554,72758,3-2639,5-4102,5-4657,2-1898,8
    assets1841,5-193,61365,74562,41841,51647,93013,67576,0
    liabilities4481,01269,41920,31804,04481,05750,47670,79474,8
3.1.1.1-Equity other than reinvestment of earnings862,21006,482,92057,3862,21868,51951,44008,7
    assets1043,622,3-214,41324,81043,61065,9851,52176,2
    liabilities181,4-984,1-297,3-732,5181,4-802,7-1100,0-1832,5
3.1.1.2-Reinvestment of earnings-1591,413,9-1608,4-1865,8-1591,4-1577,5-3185,8-5051,6
    assets1213,91001,71098,41316,61213,92215,63314,04630,6
    liabilities2805,3987,72706,83182,42805,33793,16499,89682,2
3.1.2-Debt instruments-1910,3-2483,2970,82566,9-1910,3-4393,6-3422,7-855,9
    assets-416,0-1217,5481,71921,0-416,0-1633,6-1151,9769,2
    liabilities1494,31265,7-489,1-645,81494,32760,02270,91625,0
3.2-Portfolio investment9968,8-4473,6-1,5-4470,09968,85495,25493,71023,7
    assets2195,01763,13995,82209,72195,03958,17953,910163,6
    liabilities-7773,86236,73997,36679,7-7773,8-1537,12460,29139,9
3.2.1-Equity and investment fund shares1030,71660,71703,0731,01030,72691,44394,45125,4
    assets1611,41626,22261,21572,61611,43237,65498,97071,5
    liabilities580,7-34,5558,3841,6580,7546,21104,51946,1
3.2.2-Debt securities8938,1-6134,3-1704,5-5201,08938,12803,81099,3-4101,7
    assets583,6136,91734,6637,1583,6720,52455,03092,1
    liabilities-8354,56271,23439,05838,1-8354,5-2083,31355,77193,8
3.3-Financial derivatives (other than reserves) and employee stock options-30,9188,041,5-485,8-30,9157,1198,6-287,2
    assets-1589,1-1061,7-1115,5-1382,2-1589,1-2650,9-3766,4-5148,6
    liabilities-1558,2-1249,8-1157,0-896,4-1558,2-2808,0-3965,0-4861,4
3.4-Other investment-3846,73829,5-2770,1-742,3-3846,7-17,2-2787,3-3529,6
    assets3006,3-273,32846,5-2070,33006,32732,95579,53509,2
    liabilities6853,0-4102,85616,7-1328,06853,02750,18366,87038,8
3.4.1-Other equity0,010,12,40,00,010,112,512,5
    assets0,010,12,40,00,010,112,512,5
    liabilities0,00,00,00,00,00,00,00,0
3.4.2-Currency and deposits-6906,3925,8-5426,5-644,8-6906,3-5980,4-11406,9-12051,8
    assets710,2-428,6179,7-842,7710,2281,6461,3-381,4
    liabilities7616,5-1354,45606,1-197,97616,56262,111868,211670,3
3.4.3-Loans-224,23503,6857,3-56,7-224,23279,34136,64079,9
    assets-146,31607,8921,7198,2-146,31461,52383,22581,4
    liabilities77,9-1895,864,5254,977,9-1817,8-1753,4-1498,5
3.4.4-Insurance, pension, and standardized guarantee schemes121,4117,976,9224,8121,4239,3316,1540,9
    assets0,00,20,00,10,00,20,20,4
    liabilities-121,3-117,7-76,8-224,7-121,3-239,1-315,9-540,5
3.4.5-Trade credits and advances3116,0-615,9749,9-536,23116,02500,13250,02713,8
    assets2386,7-1356,11697,9-1387,72386,71030,62728,51340,8
    liabilities-729,3-740,2948,1-851,5-729,3-1469,5-521,5-1373,0
3.4.6-Other accounts receivable/payable46,4-111,9970,0270,746,4-65,6904,41175,1
    assets55,6-106,644,8-38,255,6-51,0-6,3-44,5
    liabilities9,25,3-925,2-308,99,214,5-910,7-1219,6
3.4.7-Special drawing rights (Net incurrence of liabilities)0,00,00,00,00,00,00,00,0
3.5-Reserve assets975,3499,15214,84037,1975,31474,46689,210726,3
4.3-Net lending (+) / net borrowing (-) (balance from current and capital account)5274,2-1693,92849,11240,55274,23580,36429,47669,9
4.4-Net lending (+) / net borrowing (-) (balance from financial account)4427,0-1419,91930,01097,34427,03007,14937,16034,4
4.5-Net errors and omissions-847,2274,0-919,1-143,2-847,2-573,2-1492,3-1635,5

Note: Figures may not add up due to rounding.



The time series is available in the ARAD system