Table 26-2
Financial account,1 all countries, quarterly — Liabilities, net flows

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Liabilities, net flows


Table summary
This table displays the results of liabilities. The information is grouped by quarter (appearing as row headers), foreign direct investment in canada   , portfolio investment, other investment and canadian liabilities, net flows, calculated using canadian bonds, canadian stocks, canadian money market, total, loans , deposits , other liabilities and millions of dollars units of measure (appearing as column headers).

Quarter Foreign direct investment in Canada  Note 2  Note 2  Note 3 Portfolio investment Other investment Canadian liabilities, net flows
Canadian bonds Canadian stocks Canadian money market Total Loans  Note 4 Deposits  Note 5 Other liabilities Total
Vector number v114576 v114578 v114579 v114580 v114577 v114582 v114583 v114584 v114581 v114575
  millions of dollars
2006  
I 13,809 -602 8,022 2,009 9,429 2,808 11,052 877 14,738 37,975
II 5,534 -894 9,091 4,602 12,798 5,704 27,068 -25 32,746 51,078
III 24,543 3,991 -1,034 -1,151 1,806 8,525 662 4 9,191 35,539
IV 24,510 14,069 -5,264 -1,749 7,056 2,598 -18,393 -365 -16,161 15,405
2007  
I 21,399 7,885 -532 -702 6,652 4,875 21,849 4,404 31,128 59,180
II 22,231 -1,779 -899 1,006 -1,672 3,277 22,334 887 26,498 47,056
III 29,673 673 -8,524 -1,167 -9,018 -3,366 -21 1,279 -2,108 18,547
IV 49,845 5,263 -32,039 -281 -27,057 7,831 4,405 -1,691 10,544 33,332
2008  
I 19,272 10,186 3,698 -3,445 10,439 981 16,165 722 17,868 47,579
II 8,633 21,997 5,617 2,679 30,293 -105 -15,598 513 -15,189 23,738
III 20,983 -3,340 -5,323 1,993 -6,670 2,999 1,270 188 4,457 18,770
IV 12,122 -11,584 -1,246 9,898 -2,932 1,140 8,658 -2,630 7,168 16,358
2009  
I 399 12,101 2,587 9,567 24,255 2,610 4,674 172 7,457 32,111
II 596 31,561 6,566 1,440 39,567 -11,328 -8,760 -577 -20,665 19,497
III 16,723 12,184 14,996 -7,235 19,945 -151 16,846 9,156 25,851 62,519
IV 6,751 28,725 2,097 -3,091 27,732 -790 1,118 -101 227 34,710
2010  
I 11,137 19,267 -482 21 18,806 2,010 12,843 1,002 15,855 45,798
II 8,903 32,866 7,926 340 41,133 155 -26,118 398 -25,565 24,470
III -7,976 26,296 2,909 415 29,619 -1,006 2,955 -220 1,729 23,373
IV 12,055 17,683 7,826 2,362 27,871 7,454 10,445 -34 17,864 57,791
2011  
I 12,326 12,104 9,289 811 22,204 -5,739 13,007 1,082 8,350 42,880
II 17,439 12,037 2,164 5,162 19,364 -1,774 6,333 33 4,591 41,394
III 7,141 7,448 4,252 16,238 27,937 -549 -11,034 131 -11,452 23,626
IV 3,439 11,358 4,962 9,810 26,131 5,829 15,736 80 21,645 51,215
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