Balance of payments in EUR - quarterly

QUARTERLY BALANCE OF PAYMENTS 2024

(preliminary data - 14.3.2025)

millions of EURI. Q 2024II. Q 2024III. Q 2024IV. Q 2024I. Q 2024I.-II. Q 2024I.-III. Q 2024I.-IV. Q 2024
1-Current account4533,4-268,2-71,11399,64533,44265,24194,15593,7
    credit59582,062074,959290,962243,959582,0121656,9180947,7243191,6
    debit55048,662343,159362,060844,355048,6117391,6176753,6237597,9
1.A-Goods and services6442,06161,13900,94315,96442,012603,116504,020819,9
    credit53925,456343,053927,856979,453925,4110268,4164196,2221175,6
    debit47483,450181,950026,952663,547483,497665,3147692,2200355,7
1.A.a-Goods5240,14715,62890,93799,95240,19955,712846,616646,5
    exports45065,946642,743951,546188,045065,991708,6135660,1181848,0
    imports39825,741927,141060,642388,139825,781752,8122813,5165201,5
1.A.b-Services1201,91445,51010,1515,91201,92647,43657,44173,4
    credit8859,59700,39976,310791,48859,518559,928536,239327,6
    debit7657,68254,88966,210275,57657,615912,524878,735154,2
1.A.b.1-Manufacturing services on physical inputs owned by others509,7481,1423,5382,4509,7990,81414,31796,7
    credit621,3598,8544,6545,5621,31220,11764,72310,2
    debit111,6117,8121,0163,1111,6229,4350,4513,5
1.A.b.2-Maintenance and repair services n.i.e.50,466,379,4153,650,4116,7196,2349,8
    credit214,5249,9259,3349,6214,5464,4723,71073,3
    debit164,1183,6179,9196,0164,1347,7527,5723,5
1.A.b.3-Transport189,9265,7189,4112,4189,9455,6645,0757,4
    credit2003,82136,62157,52180,42003,84140,46297,98478,3
    debit1813,91871,01968,12068,01813,93684,85652,97720,9
1.A.b.4-Travel91,2109,130,067,491,2200,3230,3297,7
    credit1845,41980,22575,22031,71845,43825,66400,88432,4
    debit1754,21871,02545,21964,31754,23625,36170,58134,7
1.A.b.5-Construction84,5129,2110,7158,284,5213,7324,4482,6
    credit101,7162,9152,6195,1101,7264,5417,1612,3
    debit17,133,741,936,917,150,892,8129,7
1.A.b.6-Insurance and pension services-191,6-130,6-292,5-268,7-191,6-322,3-614,7-883,5
    credit70,0218,172,982,770,0288,2361,1443,8
    debit261,7348,8365,4351,5261,7610,4975,81327,3
1.A.b.7-Financial services-88,4-54,3-41,2-88,1-88,4-142,7-183,9-272,0
    credit157,9181,5211,7228,2157,9339,4551,1779,3
    debit246,3235,8252,9316,3246,3482,2735,01051,3
1.A.b.8-Charges for the use of intellectual property n.i.e.-224,0-205,4-293,6-452,1-224,0-429,4-723,0-1175,2
    credit186,7280,2207,1323,4186,7466,9674,0997,4
    debit410,7485,6500,7775,5410,7896,31397,02172,5
1.A.b.9-Telecommunications, computer, and information services693,4686,3626,9589,2693,41379,82006,72595,9
    credit1682,31737,21672,61953,81682,33419,55092,17045,9
    debit988,91050,81045,71364,6988,92039,73085,44450,0
1.A.b.10-Other business services206,4201,8293,5-32,2206,4408,2701,7669,5
    credit1916,52079,32062,32822,31916,53995,76058,18880,3
    debit1710,11877,41768,82854,51710,13587,65356,48210,9
1.A.b.11-Personal, cultural, and recreational services-108,0-92,2-107,8-98,8-108,0-200,3-308,0-406,9
    credit55,169,355,575,055,1124,4179,9254,9
    debit163,1161,6163,2173,8163,1324,7487,9661,7
1.A.b.12-Government goods and services n.i.e.-11,7-11,4-8,5-7,4-11,7-23,1-31,7-39,1
    credit4,26,25,03,74,210,515,519,1
    debit16,017,713,511,116,033,647,158,2
1.a.b.13-Services not allocated0,10,00,10,10,10,20,30,3
    credit0,10,00,10,10,10,20,30,3
    debit0,00,00,00,00,00,00,00,0
1.B-Primary income-2136,5-5959,7-3419,2-2148,6-2136,5-8096,2-11515,3-13664,0
    credit3799,54435,94178,14243,03799,58235,312413,416656,4
    debit5936,010395,57597,36391,65936,016331,523928,830320,4
1.B.1-Compensation of employees81,070,0184,297,481,0151,0335,2432,6
    credit795,1797,3795,2796,3795,11592,42387,63183,9
    debit714,1727,3611,0698,9714,11441,42052,42751,3
1.B.2-Investment income-2157,9-5948,1-3522,9-2160,7-2157,9-8106,0-11629,0-13789,7
    credit2993,73635,13379,83432,02993,76628,810008,613440,5
    debit5151,69583,26902,75592,75151,614734,821637,527230,2
1.B.2.1-Direct investment-2620,6-6434,5-4051,1-2839,4-2620,6-9055,1-13106,2-15945,6
    credit1346,01555,61743,31559,51346,02901,64644,96204,4
    debit3966,57990,25794,44398,93966,511956,717751,122150,0
1.B.2.2-Portfolio investment-89,2-460,3-299,1-146,2-89,2-549,4-848,6-994,7
    credit167,0248,7209,2200,4167,0415,7624,9825,4
    debit256,2709,0508,4346,6256,2965,11473,51820,1
1.B.2.3-Other investment-201,2-172,3-94,921,9-201,2-373,4-468,4-446,5
    credit727,7711,9505,0869,1727,71439,61944,52813,7
    debit928,9884,1599,9847,3928,91813,02412,93260,2
1.B.2.4-Reserve assets (Credit)753,01118,9922,2802,9753,01872,02794,23597,1
1.B.3-Other primary income-59,6-81,5-80,4-85,3-59,6-141,1-221,6-306,9
    credit10,73,53,214,710,714,117,332,0
    debit70,385,083,6100,070,3155,3238,9338,9
1.C-Secondary income227,9-469,6-552,8-767,6227,9-241,7-794,6-1562,2
    credit1857,11296,01185,01021,51857,13153,14338,15359,6
    debit1629,21765,61737,81789,11629,23394,85132,76921,8
2-Capital account111,01808,4916,02741,1111,01919,42835,45576,5
    credit2297,04643,92081,710029,92297,06940,89022,519052,4
    debit2185,92835,51165,77288,82185,95021,46187,113475,9
3-Financial account3722,32041,0-472,82933,63722,35763,45290,68224,1
    assets9319,43104,67741,09536,99319,412423,920164,929701,9
    liabilities5597,01063,58213,86603,45597,06660,614874,321477,7
3.1-Direct investment-1946,11038,3-955,1159,8-1946,1-907,8-1862,9-1703,1
    assets2137,42224,92476,13506,62137,44362,46838,510345,1
    liabilities4083,61186,63431,23346,84083,65270,28701,412048,2
3.1.1.1-Equity other than reinvestment of earnings-601,2-263,3835,8132,9-601,2-864,4-28,7104,3
    assets164,783,1898,4121,9164,7247,81146,21268,1
    liabilities765,9346,462,6-11,1765,91112,31174,91163,8
3.1.1.2-Reinvestment of earnings-2188,0-90,8-765,9-1187,0-2188,0-2278,9-3044,8-4231,8
    assets867,0864,0891,01091,3867,01731,12622,03713,4
    liabilities3055,1954,81656,92278,33055,14009,95666,87945,2
3.1.2-Debt instruments843,11392,4-1024,91213,8843,12235,51210,62424,4
    assets1105,71277,8686,82293,41105,72383,53070,35363,7
    liabilities262,6-114,61711,71079,6262,6148,01859,72939,2
3.2-Portfolio investment1721,1344,5-3367,9-6488,61721,12065,6-1302,3-7790,9
    assets1452,92903,21401,9745,31452,94356,15758,06503,3
    liabilities-268,22558,74769,97233,8-268,22290,57060,314294,2
3.2.1-Equity and investment fund shares686,61392,9595,7143,6686,62079,52675,22818,7
    assets1018,21917,31009,2562,21018,22935,53944,74506,9
    liabilities331,6524,4413,4418,6331,6856,01269,51688,1
3.2.2-Debt securities1034,6-1048,4-3963,7-6632,11034,6-13,8-3977,5-10609,6
    assets434,8985,8392,8183,1434,81420,61813,41996,4
    liabilities-599,82034,34356,46815,2-599,81434,45790,912606,1
3.3-Financial derivatives (other than reserves) and employee stock options-281,3-607,4155,1-765,3-281,3-888,7-733,6-1498,9
    assets-2069,9-1771,2-1313,7-2080,2-2069,9-3841,1-5154,8-7235,0
    liabilities-1788,5-1163,8-1468,8-1314,9-1788,5-2952,4-4421,2-5736,1
3.4-Other investment2146,82326,74235,49427,02146,84473,58708,918135,9
    assets5717,0808,85716,96764,65717,06525,812242,719007,4
    liabilities3570,2-1517,91481,5-2662,43570,22052,33533,8871,4
3.4.1-Other equity5,70,02,40,05,75,78,18,1
    assets5,70,02,40,05,75,78,18,1
    liabilities0,00,00,00,00,00,00,00,0
3.4.2-Currency and deposits2023,91879,64231,24575,52023,93903,58134,712710,2
    assets3301,0645,23270,5760,63301,03946,27216,77977,3
    liabilities1277,1-1234,4-960,7-3815,01277,142,6-918,0-4733,0
3.4.3-Loans-251,0198,1-215,9212,2-251,0-52,9-268,7-56,5
    assets677,4-120,0-166,12637,6677,4557,4391,33028,9
    liabilities928,4-318,149,82425,4928,4610,3660,13085,5
3.4.4-Insurance, pension, and standardized guarantee schemes-154,423,0-527,3-154,3-154,4-131,4-658,8-813,1
    assets-0,10,0-0,00,0-0,1-0,0-0,1-0,1
    liabilities154,4-23,0527,3154,3154,4131,4658,7813,0
3.4.5-Trade credits and advances592,896,81137,34683,0592,8689,51826,96509,9
    assets1602,9356,42580,13381,61602,91959,24539,37920,9
    liabilities1010,1259,61442,8-1301,41010,11269,72712,41411,0
3.4.6-Other accounts receivable/payable-70,2129,2-392,2110,6-70,259,0-333,2-222,7
    assets130,1-72,830,1-15,1130,157,387,472,2
    liabilities200,3-202,0422,3-125,7200,3-1,7420,6294,9
3.4.7-Special drawing rights (Net incurrence of liabilities)0,00,00,00,00,00,00,00,0
3.5-Reserve assets2081,8-1061,1-540,3600,72081,81020,8480,41081,1
4.3-Net lending (+) / net borrowing (-) (balance from current and capital account)4644,41540,2844,94140,74644,46184,67029,511170,2
4.4-Net lending (+) / net borrowing (-) (balance from financial account)3722,32041,0-472,82933,63722,35763,45290,68224,1
4.5-Net errors and omissions-922,1500,9-1317,7-1207,2-922,1-421,2-1738,9-2946,1

Note: Figures may not add up due to rounding.



The time series is available in the ARAD system