Table 61-1
Financial account,1 United States, quarterly — Assets, net flows

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Assets, net flows


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

Quarter Canadian direct investment abroad  Note 2 Portfolio investment Other investment Canadian assets, net flows
Foreign bonds Foreign stocks Foreign money market Total Loans Deposits  Note 3 Official international reserves  Note 4 Other assets Total
Vector number v114643 v114645 v114646 v30424737 v114644 v114648 v114649 v114650 v114651 v114647 v114642
  millions of dollars
2006  
I -6,168 -6,127 452 436 -5,239 47 1,785 -2,737 -1,313 -2,218 -13,625
II -4,155 -6,748 -3,790 -1,841 -12,379 -914 -11,422 2,697 -223 -9,862 -26,396
III -4,703 -1,308 -8,283 -1,645 -11,236 -9,772 -1,650 -51 -1,399 -12,871 -28,810
IV -8,278 -851 2,773 -243 1,680 -799 15,821 1,112 -6,829 9,305 2,707
2007  
I -12,471 -6,341 3,028 624 -2,688 -688 -7,568 -4,013 -1,690 -13,959 -29,119
II -4,964 -7,460 -2,301 84 -9,677 4,581 -4,195 -148 -6,395 -6,157 -20,798
III -8,462 3,940 -3,222 2,652 3,369 -3,380 -7,680 468 3,106 -7,487 -12,580
IV -5,368 1,952 -8,676 589 -6,135 -1,258 -2,401 -68 -4,380 -8,106 -19,608
2008  
I -21,703 2,248 -1,820 -1,498 -1,069 -2,350 -8,290 -31 322 -10,350 -33,123
II -4,836 1,281 -4,893 139 -3,473 6,628 -6,319 -1,485 -495 -1,671 -9,980
III -12,066 5,124 -4,956 294 462 5,751 581 -1,597 2,750 7,485 -4,118
IV -11,676 5,094 2,842 2,987 10,923 -6,043 -46 1,345 1,147 -3,596 -4,349
2009  
I -776 -2,231 -6,961 -2,176 -11,369 5,174 6,710 -391 -6,350 5,143 -7,002
II -744 -449 -3,146 439 -3,156 -8,652 -4,899 -2,085 4,979 -10,658 -14,557
III -17,281 4,643 -1,198 347 3,792 -1,809 -9,672 -708 -968 -13,157 -26,645
IV -65 -63 630 -254 313 -1,709 -8,806 1,285 -1,744 -10,974 -10,726
2010  
I 1,121 -2,083 -5,295 -1,249 -8,627 -4,479 -16,479 -539 -3,340 -24,837 -32,342
II -3,134 763 -6,429 626 -5,040 2,809 1,821 -917 -5,706 -1,992 -10,166
III -6,724 1,277 -7,015 -1,958 -7,696 3,049 -1,525 -520 436 1,440 -12,980
IV -4,427 -931 328 1,216 613 -2,069 -3,401 68 -10,422 -15,823 -19,637
2011  
I -2,797 2,267 -4,015 -395 -2,143 -7,658 -18,440 Note ..: not available for a specific reference period 3,665 -22,433 -27,373
II -1,806 8,563 -8,886 670 347 -5,160 -14,867 Note ..: not available for a specific reference period 4,073 -15,954 -17,413
III -12,567 612 -5,738 532 -4,594 -169 6,482 Note ..: not available for a specific reference period 8,866 15,179 -1,983
IV -6,413 -4,904 -1,677 953 -5,628 2,101 7,148 Note ..: not available for a specific reference period -4,147 5,101 -6,939
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