Opțiuni de accesibilitate

  • Programul primirii în audiență a cetățenilor de către conducerea Băncii Naționale a Moldovei
    Înscrierea solicitanților pentru audiență se efectuează în temeiul înscrierii prealabile a solicitanților în baza cererii de audiență, care se depune în scris la sediul BNM, prin poștă sau email.
    Pentru mai multe informații privind modul de depunere și realizare a audienței, vă recomandăm să consultați Hotărârea Guvernului pentru aprobarea Regulamentului privind organizarea audienței HG250/2024
     

  • Anca Dragu, guvernator

    Prima zi de miercuri a lunii: 14:00-16:00.

  • Petru Rotaru, prim-viceguvernator

    A doua zi de miercuri a lunii: 14:00-16:00.


  • Tatiana Ivanicichina, viceguvernator

    A treia zi de miercuri a lunii: 14:00-16:00.


  • Constantin Șchendra, viceguvernator

    A patra zi de miercuri a lunii: 14:00-16:00.


  • Mihnea Constantinescu, viceguvernator

    A cincea zi de miercuri a lunii: 14:00-16:00.

Vă rugăm să luați cunoștință cu cerințele înaintate față de primirea și examinarea petițiilor și cererilor de acces la informații de interes public adresate Băncii Naționale a Moldovei.

Detalii.

 

Bine ați venit pe pagină oficială a Băncii Naționale a Moldovei!

Main navigation BNM

Extinde Ascunde
21.10.2016

Balance of payments for 2015 (final data)



Balance of payments for 2015 (final data)

 

In 2015, the current account of the balance of payments of the Republic of Moldova recorded a deficit of US$ 414.84 million (down by 27.1% as compared to 2014), the capital account registered a surplus of US$ 22.88 million and the financial account recorded a net inflow of US$ 443.72 million.

 

Balance of payments of the Republic of Moldova (BPM6) – main aggregates (US$ million)

 

2011

2012

2013*

2014*

2015*

2015 / 2014 (%)

CURRENT ACCOUNT

-851.95

-636.38

-516.48

-569.08

-414.84

72.9

  Goods and services

-2,825.50

-2,958.90

-2,991.48

-2,918.14

-1,956.99

67.1

   Goods

-2,984.55

-3,067.87

-3,138.41

-3,041.19

-2,087.86

68.7

    exports (FOB)

1,742.50

1,687.51

1,898.13

1,816.49

1,506.94

83.0

    imports (FOB)

4,727.05

4,755.38

5,036.54

4,857.68

3,594.80

74.0

  Services

159.05

108.97

146.93

123.05

130.87

106.4

    exports  

998.14

1,021.15

1,135.11

1,138.01

968.38

85.1

    imports 

839.09

912.18

988.18

1,014.96

837.51

82.5

  Primary income

577.52

816.27

870.96

823.12

457.89

55.6

     inflow, of which:

933.35

1,047.00

1,161.64

1,115.10

816.83

73.3

       compensation of employees

907.70

1,009.95

1,118.02

1,063.84

783.15

73.6

       investment income

27.72

39.27

45.88

54.07

36.52

67.5

     outflow, of which:

355.83

230.73

290.68

291.98

358.94

122.9

      investment income

317.85

182.63

247.82

219.65

275.81

125.6

  Secondary income

1,396.03

1,506.25

1,604.04

1,525.94

1,084.26

71.1

     inflow, of which:

1,509.03

1,624.07

1,734.10

1,676.62

1,227.45

73.2

       current international cooperation

238.35

253.76

252.91

343.59

193.66

56.4

       personal transfers

905.41

976.49

1,073.52

1,012.08

756.97

74.8

     outflow

113.00

117.82

130.06

150.68

143.19

95.0

 CAPITAL ACCOUNT

31.99

21.23

57.92

96.78

22.88

23.6

Net lending (+) / net borrowing (-) (current and capital account balance)

-819.96

-615.15

-458.56

-472.30

-391.96

83.0

 FINANCIAL ACCOUNT

-746.20

-487.61

-363.25

-563.66

-443.72

78.7

   Direct investment

-314.15

-253.00

-248.84

-314.44

-227.94

72.5

     net acquisition of financial assets

33.78

29.58

41.62

35.49

6.47

18.2

     net incurrence of liabilities, of which:

347.93

282.58

290.46

349.93

234.41

67.0

       equity other than reinvestment of earnings

143.90

144.55

160.32

165.60

72.12

43.6

       reinvestment of earnings

86.72

-11.01

19.20

33.07

123.05

 3.7 times

       debt instruments

117.31

149.04

110.94

151.26

39.24

25.9

   Portfolio investment

0.97

-21.34

-9.76

-13.74

-2.27

16.5

     net acquisition of financial assets

6.10

-6.98

0.40

-3.43

1.05

-

     net incurrence of liabilities

5.13

14.36

10.16

10.31

3.32

32.2

   Financial derivatives (other than reserve assets) – banks, net

-0.19

0.24

-0.11

-0.61

-0.70

114.8

   Other investment

-707.88

-712.16

-386.59

303.58

93.68

30.9

     net acquisition of financial assets

-108.63

-225.19

121.56

338.46

41.46

12.2

      currency and deposits 

-171.43

-131.45

244.78

79.04

88.69

112.2

      loans

-1.99

4.96

37.79

29.29

-1.04

-

      trade credit and advances 

64.79

-98.15

-61.41

-12.19

-46.19

 3.8 times

      other account receivable

 

-0.55

-99.60

242.32

 

 

     net incurrence of liabilities

599.25

486.97

508.15

34.88

-52.22

-

      currency and deposits 

47.69

-5.45

226.12

-107.88

-119.75

111.0

      loans

361.39

466.01

208.51

22.50

20.01

88.9

      trade credit and advances 

200.72

31.50

73.71

125.63

51.99

41.4

      other accounts payable

-10.55

-5.09

-0.19

-5.37

-4.47

83.2

     Reserve assets

275.05

498.65

282.05

-538.45

-306.49

56.9

Net errors and omissions

73.76

127.54

95.31

-91.36

-51.76

56.7

Note:

 

 

 

 

 

 

Money transfers from abroad in favor of individuals via licensed banks, net

1,443.47

1,494.23

1,608.98

1,612.96

1,129.36

70.0

 

Time series are available starting from 1995 for the balance of payments according to BPM5 and from 2009 for the balance of payments according to BPM6:

Balance of payments (BPM6)

Balance of payments

Abonare la conținut
CAPTCHA
Întrebare pentru a verifica că sunteţi persoană fizică (în scopul prevenirii transmiterilor automate a spam-ului).