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  • Anca Dragu, Governor

    1st Wednesday of the month: 14.00-16.00;
    Telephone: +373 22 822 606.


  • Vladimir Munteanu, First Deputy Governor

    2nd Wednesday of the month: 14.00-16.00;
    Telephone: +373 22 822 606.


  • Tatiana Ivanicichina, Deputy Governor

    3rd Wednesday of the month: 14.00-16.00;
    Telephone: +373 22 822 607.


  • Constantin Șchendra, Deputy Governor

    4th Wednesday of the month: 14.00-16.00;
    Telephone: +373 22 822 607.

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30.06.2014

Balance of Payments for Quarter II 2014 (preliminary data)



Balance of payments of Moldova – main aggregates (US$ million)

 

Q I

2013

Q II

2013

Q III

2013

Q IV

2013

Q I

2014

Q II

2014

Sem. I 2014

CURRENT ACCOUNT

-134.55

-208.70

-57.04

1.70

-126.01

-18.68

-144.69

Goods and services

-628.27

-789.12

-742.84

-806.66

-625.82

-724.60

-1350.42

Goods

-627.58

-789.32

-756.72

-808.85

-621.26

-710.78

-1332.04

  Exports (FOB), of which:

596.86

555.01

615.34

698.95

574.51

604.00

1178.51

     alcoholic beverages

62.16

67.34

57.17

60.84

40.81

45.77

86.58

  Imports (FOB), of which:

-1224.44

-1344.33

-1372.06

-1507.80

-1195.77

-1314.78

-2510.55

     imports of energy resources (except electricity)

-295.40

-198.90

-231.17

-320.19

-263.59

-211.31

-474.90

Services

-0.69

0.20

13.88

2.19

-4.56

-13.82

-18.38

  exports  

216.93

243.49

265.50

261.84

215.75

244.80

460.55

  imports

-217.62

-243.29

-251.62

-259.65

-220.31

-258.62

-478.93

Income

170.68

180.89

237.29

271.89

164.40

223.63

388.03

  inflow, of which:

222.43

295.42

326.28

319.25

226.55

313.46

540.01

    compensation of employees

214.16

283.28

313.68

307.05

214.80

301.25

516.05

  outflow, of which:

-51.75

-114.53

-88.99

-47.36

-62.15

-89.83

-151.98

    dividends and distributed branch profits on direct investment

-6.38

-54.97

-41.59

-31.14

-13.82

-33.17

-46.99

    reinvested earnings and undistributed branch profits

-14.52

-20.38

-8.98

24.68

-10.84

-15.26

-26.10

    income on other investment

-15.77

-20.40

-18.12

-21.00

-18.68

-17.90

-36.58

Current transfers

323.04

399.53

448.51

536.47

335.41

482.29

817.70

  inflow, of which:

353.00

432.39

485.02

574.17

368.31

521.24

889.55

    personal transfers

184.71

207.01

235.83

239.20

183.55

222.12

405.67

  outflow

-29.96

-32.86

-36.51

-37.70

-32.90

-38.95

-71.85

CAPITAL AND FINANCIAL ACCOUNT

138.98

180.79

-35.18

45.73

102.95

62.94

165.89

Capital account

-8.12

-8.31

-10.66

-8.38

-11.28

-14.42

-25.70

Financial account

147.10

189.10

-24.52

54.11

114.23

77.36

191.59

   Direct investment, of which:

61.98

61.95

51.95

31.54

12.32

53.12

65.44

    in domestic economy

64.73

67.38

54.97

49.22

15.89

58.58

74.47

          equity capital and reinvested earnings

63.59

43.11

43.92

28.90

46.90

81.73

128.63

          intercompany loans

1.14

24.27

11.05

20.32

-31.01

-23.15

-54.16

   Portfolio investment

1.98

4.37

0.50

2.91

5.05

4.15

9.20

    Assets*

0.57

-1.06

-0.35

0.44

1.86

-0.14

1.72

    Liabilities**

1.41

5.43

0.85

2.47

3.19

4.29

7.48

   Financial derivatives – banks, net

0.13

0.06

-0.06

-0.02

0.19

-0.11

0.08

   Other investment

87.23

108.41

134.09

100.82

0.18

34.76

34.94

     Assets*

2.11

60.88

-0.57

-180.44

-157.04

16.80

-140.24

      trade credits

-0.47

43.10

-0.91

19.69

-1.87

22.21

20.34

      loans

-12.78

-0.29

-24.07

-0.65

0.03

2.66

2.69

      currency and deposits

3.97

-16.03

-7.70

-221.48

-155.20

-8.07

-163.27

      other assets

11.39

34.10

32.11

22.00

 

 

 

     Liabilities**

85.12

47.53

134.66

281.26

157.22

17.96

175.18

       trade credits

6.15

65.29

18.41

-16.14

-39.36

39.08

-0.28

       long-term loans

49.55

-13.23

147.92

-13.18

3.15

9.37

12.52

          disbursed   

123.77

167.70

275.85

137.13

94.09

102.93

197.02

          reimbursed

-74.22

-180.93

-127.93

-150.31

-90.94

-93.56

-184.50

       short-term loans

-0.15

9.08

-7.07

24.13

1.62

-17.45

-15.83

       non-residents' deposits in the domestic banking system

8.87

22.18

-18.17

213.24

76.74

36.66

113.40

       other liabilities

20.70

-35.79

-6.43

73.21

115.07

-49.70

65.37

   Reserve assets *

-4.22

14.31

-211.00

-81.14

96.49

-14.56

81.93

Errors and omissions

-4.43

27.91

92.22

-47.43

23.06

-44.26

-21.20

Note:

 

 

 

 

 

 

 

Money transfers from abroad in favor of individuals via authorized banks

320.45

391.97

448.80

447.76

314.14

453.98

768.12

*(‑)  increase, (+)  decrease; for reserve assets – valued at the daily average exchange rate;

** (+) increase, (-) decrease

Note:  Data for 2013 - Q I 2014 have been revised.

 

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