Please select a date range

    1999    
 
 
    2025
Millions of Dollars
Line Name 2025 Preceding
Period
Year Ago
from Period
Current account
line 1
Exports of goods and services and income receipts (credits)
5,147,693 4,871,491 4,871,491
line 2
Exports of goods and services
3,429,920 3,232,524 3,232,524
line 3
Goods
2,197,515 2,079,777 2,079,777
line 4
General merchandise
2,088,575 2,040,876 2,040,876
line 5
Foods, feeds, and beverages
161,738 165,805 165,805
line 6
Industrial supplies and materials
701,240 713,224 713,224
line 7
Capital goods except automotive
716,121 647,156 647,156
line 8
Automotive vehicles, parts, and engines
158,684 172,506 172,506
line 9
Consumer goods except food and automotive
269,091 259,589 259,589
line 10
Other general merchandise
81,702 82,596 82,596
line 11
Net exports of goods under merchanting
686 706 706
line 12
Nonmonetary gold
108,253 38,195 38,195
line 13
Services
1,232,405 1,152,747 1,152,747
line 14
Maintenance and repair services n.i.e.
42,993 35,519 35,519
line 15
Transport
104,326 102,238 102,238
line 16
Travel (for all purposes including education)
213,044 213,779 213,779
line 17
Insurance services
31,296 28,165 28,165
line 18
Financial services
212,862 194,509 194,509
line 19
Charges for the use of intellectual property n.i.e.
189,146 169,520 169,520
line 20
Telecommunications, computer, and information services
102,266 90,783 90,783
line 21
Other business services
286,438 263,873 263,873
line 22
Government goods and services n.i.e.
25,580 30,774 30,774
line 23
Primary income receipts
1,532,752 1,451,065 1,451,065
line 24
Investment income
1,523,709 1,442,353 1,442,353
line 25
Direct investment income
712,459 639,907 639,907
line 26
Portfolio investment income
539,914 516,936 516,936
line 27
Other investment income
264,825 277,465 277,465
line 28
Reserve asset income
6,510 8,045 8,045
line 29
Compensation of employees
9,043 8,712 8,712
line 30
Secondary income (current transfer) receipts
185,020 187,902 187,902
line 31
Imports of goods and services and income payments (debits)
6,263,702 6,056,792 6,056,792
line 32
Imports of goods and services
4,341,609 4,136,057 4,136,057
line 33
Goods
3,438,331 3,295,180 3,295,180
line 34
General merchandise
3,333,779 3,256,964 3,256,964
line 35
Foods, feeds, and beverages
216,639 217,275 217,275
line 36
Industrial supplies and materials
616,312 660,104 660,104
line 37
Capital goods except automotive
1,133,826 969,077 969,077
line 38
Automotive vehicles, parts, and engines
423,517 475,525 475,525
line 39
Consumer goods except food and automotive
800,174 806,134 806,134
line 40
Other general merchandise
143,309 128,850 128,850
line 41
Nonmonetary gold
104,552 38,216 38,216
line 42
Services
903,278 840,877 840,877
line 43
Maintenance and repair services n.i.e.
8,874 7,540 7,540
line 44
Transport
155,838 154,749 154,749
line 45
Travel (for all purposes including education)
191,694 178,914 178,914
line 46
Insurance services
107,676 95,134 95,134
line 47
Financial services
70,298 63,371 63,371
line 48
Charges for the use of intellectual property n.i.e.
51,640 54,037 54,037
line 49
Telecommunications, computer, and information services
80,344 72,634 72,634
line 50
Other business services
179,128 159,687 159,687
line 51
Government goods and services n.i.e.
25,531 25,609 25,609
line 52
Primary income payments
1,519,961 1,492,104 1,492,104
line 53
Investment income
1,488,161 1,461,332 1,461,332
line 54
Direct investment income
335,531 342,877 342,877
line 55
Portfolio investment income
819,782 774,753 774,753
line 56
Other investment income
332,848 343,702 343,702
line 57
Compensation of employees
31,800 30,773 30,773
line 58
Secondary income (current transfer) payments
402,133 428,631 428,631
Capital account
line 59
Capital transfer receipts and other credits
9,212 12,807 12,807
line 60
Capital transfer payments and other debits
8,237 9,274 9,274
Financial account
line 61
Net U.S. acquisition of financial assets excluding financial derivatives (net increase in assets / financial outflow (+))
1,703,030 792,471 792,471
line 62
Direct investment assets
422,226 322,165 322,165
line 63
Equity
397,680 330,999 330,999
line 64
Debt instruments
24,546 -8,834 -8,834
line 65
Portfolio investment assets
340,678 357,626 357,626
line 66
Equity and investment fund shares
116,492 149,500 149,500
line 67
Debt securities
224,186 208,126 208,126
line 68
Short term
17,187 -51,351 -51,351
line 69
Long term
206,998 259,477 259,477
line 70
Other investment assets
937,478 110,564 110,564
line 71
Currency and deposits
406,794 134,394 134,394
line 72
Loans
531,227 -28,705 -28,705
line 74
Trade credit and advances
-2,316 2,641 2,641
line 75
Reserve assets
2,649 2,116 2,116
line 76
Monetary gold
0 0 0
line 77
Special drawing rights
-1,224 5,137 5,137
line 78
Reserve position in the International Monetary Fund
3,243 -3,508 -3,508
line 79
Other reserve assets
630 487 487
line 80
Currency and deposits
314 497 497
line 81
Securities
316 -105 -105
line 82
Financial derivatives
0 0 0
line 83
Other claims
0 95 95
line 84
Net U.S. incurrence of liabilities excluding financial derivatives (net increase in liabilities / financial inflow (+))
2,895,856 1,878,748 1,878,748
line 85
Direct investment liabilities
400,520 297,059 297,059
line 86
Equity
300,002 290,645 290,645
line 87
Debt instruments
100,518 6,414 6,414
line 88
Portfolio investment liabilities
1,689,164 1,318,678 1,318,678
line 89
Equity and investment fund shares
735,738 305,897 305,897
line 90
Debt securities
953,426 1,012,781 1,012,781
line 91
Short term
139,038 148,830 148,830
line 92
Long term
814,388 863,951 863,951
line 93
Other investment liabilities
806,172 263,011 263,011
line 94
Currency and deposits
321,238 -131,247 -131,247
line 95
Loans
471,601 353,252 353,252
line 97
Trade credit and advances
13,333 41,006 41,006
line 98
Special drawing rights allocations
0 0 0
line 99
Financial derivatives other than reserves, net transactions
-19,422 -42,316 -42,316
Statistical discrepancy
line 100
Statistical discrepancy
-97,213 53,174 53,174
Balances
line 101
Balance on current account (line 1 less line 31)
-1,116,010 -1,185,301 -1,185,301
line 102
Balance on goods and services (line 2 less line 32)
-911,689 -903,532 -903,532
line 103
Balance on goods (line 3 less line 33)
-1,240,816 -1,215,403 -1,215,403
line 104
Balance on services (line 13 less line 42)
329,127 311,870 311,870
line 105
Balance on primary income (line 23 less line 52)
12,791 -41,039 -41,039
line 106
Balance on secondary income (line 30 less line 58)
-217,112 -240,729 -240,729
line 107
Balance on capital account (line 59 less line 60)
976 3,533 3,533
line 108
Net lending (+) or net borrowing (-) from current- and capital-account transactions (line 101 plus line 107)
-1,115,034 -1,181,768 -1,181,768
line 109
Net lending (+) or net borrowing (-) from financial-account transactions (line 61 less line 84 plus line 99)
-1,212,247 -1,128,593 -1,128,593
   

Back to Top