Net lending/net borrowing | | 6 193.50 | 9 263.70 | 3 375.60 | 13 027.70 | 12 464.00 | 11 954.00 | 4 545.10 | 15 526.30 | 9 694.90 | 10 205.20 | 6 827.50 | 18 245.70 | 10 458.90 | 8 653.00 |
Net financial transactions | | 5 529.30 | 11 549.40 | 3 045.90 | 13 505.90 | 12 193.40 | 14 300.20 | 5 347.30 | 14 148.00 | 9 096.70 | 8 995.70 | 8 570.80 | 21 374.10 | 9 025.50 | 10 685.70 |
Net acquisition of financial assets | | 69 563.50 | 72 766.20 | 126 406.60 | 64 242.60 | 115 244.00 | 67 305.10 | 62 328.90 | 74 327.20 | 104 249.10 | 74 269.80 | 87 126.80 | 154 349.90 | 147 377.50 | 109 472.00 |
Monetary gold and SDRs | | -4.00 | -240.60 | 1.00 | 21.20 | 2.00 | -40.10 | -57.80 | 1.00 | 2.70 | -0.90 | 0.90 | 0.00 | -22.60 | -0.80 |
Currency and deposits | | 2 995.40 | -305.90 | -1 408.30 | 3 438.00 | -13 720.80 | -4 280.10 | -13 375.40 | 133.40 | -5 466.40 | 10 560.10 | -6 674.20 | -5 558.60 | -726.70 | 2 362.90 |
Securities other than shares | | 22 947.10 | -2 006.60 | 26 044.70 | -1 718.00 | 40 219.90 | -8 596.40 | 18 995.20 | -550.60 | -18 320.40 | 1 354.40 | 13 307.90 | 15 901.00 | 7 007.20 | 17 058.70 |
Securities other than shares, except financial derivatives | | 22 947.10 | -2 006.60 | 26 044.70 | -1 718.00 | 40 219.90 | -8 596.40 | 18 995.20 | -550.60 | -18 320.40 | 1 354.40 | 13 307.90 | 15 901.00 | 7 007.20 | 17 058.70 |
Short-term securities | | 310.60 | 5 782.10 | 9 012.00 | -5 619.00 | 12 537.40 | 13 457.90 | -5 078.60 | -9 633.00 | -14 082.80 | 833.50 | -4 104.60 | 242.10 | -1 520.40 | 6 267.30 |
Long-term securities | | 22 636.50 | -7 788.70 | 17 032.70 | 3 901.00 | 27 682.50 | -22 054.30 | 24 073.80 | 9 082.40 | -4 237.50 | 520.90 | 17 412.50 | 15 658.80 | 8 527.60 | 10 791.40 |
Loans | | 13 768.30 | 57 963.90 | 44 971.30 | 32 130.40 | 18 739.20 | 56 995.70 | 23 440.10 | 25 543.10 | 27 514.10 | 44 237.50 | 27 914.00 | 6 015.60 | 28 520.40 | 34 769.80 |
Shares and other equity | | 35 271.10 | -2 661.90 | 8 420.90 | 31 918.50 | 10 612.50 | -2 410.70 | 7 241.40 | 24 553.50 | 35 553.20 | 6 392.30 | 18 202.00 | 64 593.50 | 25 379.00 | 32 353.10 |
Shares and other equity, except mutual funds shares | | 25 175.40 | -9 327.00 | 6 111.80 | 23 238.80 | -3 701.00 | -10 379.70 | 3 533.10 | 15 437.70 | 26 360.40 | 4 487.80 | 3 704.30 | 37 661.60 | 7 115.20 | 18 735.90 |
Quoted shares | | 16 715.70 | -8 849.90 | 7 850.90 | 16 796.60 | 1 472.90 | -1 821.50 | -1 810.30 | 12 815.40 | 15 660.60 | 2 556.60 | 2 513.60 | 9 455.70 | 9 421.90 | 9 489.20 |
Mutual funds shares | | 10 095.70 | 6 665.10 | 2 309.00 | 8 679.70 | 14 313.60 | 7 969.00 | 3 708.30 | 9 115.70 | 9 192.80 | 1 904.60 | 14 497.70 | 26 931.90 | 18 263.80 | 13 617.20 |
Insurance technical reserves | | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
Other accounts receivable | | -5 414.40 | 20 017.20 | 48 377.10 | -1 547.50 | 59 391.20 | 25 636.60 | 26 085.40 | 24 646.80 | 64 965.90 | 11 726.50 | 34 376.10 | 73 398.50 | 87 220.20 | 22 928.20 |
Net incurrence of liabilities | | 64 034.20 | 61 216.80 | 123 360.80 | 50 736.80 | 103 050.50 | 53 004.90 | 56 981.60 | 60 179.20 | 95 152.40 | 65 274.10 | 78 555.90 | 132 975.80 | 138 352.00 | 98 786.30 |
Currency and deposits | | 11 790.70 | 35 639.20 | 33 229.10 | 51 411.60 | 5 407.90 | 23 330.50 | 32 620.90 | 65 716.20 | 9 364.10 | 54 877.30 | 27 233.70 | 13 829.10 | 30 155.20 | 41 122.50 |
Securities other than shares | | 10 910.70 | -3 414.20 | 31 845.90 | -17 055.80 | 35 655.60 | -25 873.10 | 8 698.30 | -15 994.90 | -4 084.40 | 1 646.90 | 1 063.10 | 4 255.50 | 7 753.30 | 7 128.70 |
Securities other than shares, except financial derivatives | | 10 910.70 | -3 414.20 | 31 845.90 | -17 055.80 | 35 655.60 | -25 873.10 | 8 698.30 | -15 994.90 | -4 084.40 | 1 646.90 | 1 063.10 | 4 255.50 | 7 753.30 | 7 128.70 |
Short-term securities | | -10 229.60 | 615.70 | 8 220.80 | -8 554.70 | 10 023.80 | 686.00 | 713.50 | -5 151.30 | 6 572.00 | 1 029.80 | -4 113.70 | -5 705.60 | 1 930.50 | 2 906.30 |
Long-term securities | | 21 140.30 | -4 030.00 | 23 625.10 | -8 501.20 | 25 631.80 | -26 559.10 | 7 984.80 | -10 843.60 | -10 656.40 | 617.10 | 5 176.80 | 9 961.10 | 5 822.80 | 4 222.40 |
Loans | | -7 657.70 | 13 908.40 | 20 451.60 | 8 343.80 | 12 210.30 | 6 580.40 | 4 019.40 | -20 381.40 | 20 870.50 | -14 928.60 | -2 695.40 | 2 325.40 | 9 465.40 | 80.50 |
Shares and other equity | | 27 254.90 | 3 792.40 | 50 653.90 | 18 765.80 | 25 415.70 | 25 739.20 | 27 003.10 | 13 024.00 | 58 071.30 | 40 169.70 | 24 147.30 | 70 145.90 | 39 939.70 | 32 018.80 |
Shares and other equity, except mutual funds shares | | 8 287.90 | -10 763.40 | 40 591.50 | -2 231.50 | -782.00 | 6 754.40 | 16 346.10 | 2 074.60 | 31 699.00 | 26 843.10 | -5 353.10 | 27 786.80 | -1 162.60 | 6 899.30 |
Quoted shares | | 2 706.70 | -373.20 | 2 091.90 | 439.80 | -80.30 | 292.20 | -75.10 | 123.80 | 3 312.30 | 3 224.10 | 3 959.50 | 4 798.70 | 3 831.90 | 4 389.10 |
Mutual funds shares | | 18 967.00 | 14 555.80 | 10 062.40 | 20 997.20 | 26 197.80 | 18 984.90 | 10 657.00 | 10 949.40 | 26 372.20 | 13 326.60 | 29 500.40 | 42 359.10 | 41 102.30 | 25 119.50 |
Insurance technical reserves | | 13 563.50 | 15 039.90 | 9 714.60 | 14 719.40 | 11 976.40 | 12 619.50 | 4 107.90 | 22 150.20 | 6 961.70 | 11 334.90 | 10 422.50 | 28 308.10 | 9 027.10 | 22 285.60 |
Other accounts payable | | 8 172.10 | -3 748.80 | -22 534.40 | -25 448.10 | 12 384.70 | 10 608.40 | -19 468.00 | -4 335.00 | 3 969.30 | -27 826.10 | 18 384.70 | 14 111.80 | 42 011.20 | -3 849.80 |