Table 61-2
Financial account,1 United States, 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 2Note 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 v114653 v114655 v114656 v114657 v114654 v114659 v114660 v114661 v114658 v114652
  millions of dollars
2006  
I 8,440 1,462 6,448 2,939 10,850 -395 -11,053 243 -11,204 8,085
II 4,763 -2,117 9,123 2,738 9,745 6,303 15,035 13 21,351 35,859
III 3,361 8,792 1,791 -479 10,105 8,752 -7,731 -155 867 14,332
IV 5,123 2,637 -875 -1,561 200 4,247 4,516 -75 8,688 14,012
2007  
I 10,535 5,087 4,963 -466 9,584 30 13,658 2,273 15,962 36,080
II 8,823 -3,373 6,028 432 3,087 -75 19,036 -115 18,846 30,755
III 4,907 461 -4,523 526 -3,537 -1,240 -2,752 621 -3,370 -1,999
IV 20,791 370 -21,959 -689 -22,278 -121 4,843 -2,118 2,604 1,117
2008  
I 9,067 1,911 8,019 -3,067 6,863 325 18,998 388 19,711 35,641
II 7,412 15,139 8,522 1,708 25,370 2,933 -11,290 414 -7,943 24,839
III 6,992 2,052 -7,100 1,761 -3,287 -123 -11,690 102 -11,711 -8,006
IV 3,896 -5,419 -5,621 6,660 -4,380 -1,248 4,514 -1,288 1,977 1,493
2009  
I 1,306 10,394 2,453 11,652 24,499 3,881 2,540 -161 6,259 32,064
II 1,111 19,796 5,990 -1,481 24,305 -8,619 -6,805 -521 -15,944 9,471
III 8,517 15,449 9,458 -2,059 22,848 1,847 8,683 -10 10,521 41,886
IV 3,478 18,150 2,872 -2,249 18,772 -2,012 6,027 -474 3,541 25,792
2010  
I 5,460 16,899 -76 -212 16,611 -193 20,415 214 20,436 42,507
II 3,168 22,769 5,982 -216 28,535 2,506 -20,411 437 -17,468 14,235
III 4,316 14,906 3,347 1,414 19,667 -1,118 15,856 -382 14,356 38,339
IV 4,368 14,795 4,167 3,467 22,430 2,685 10,203 -306 12,582 39,380
2011  
I 4,989 12,629 6,099 1,464 20,193 -5,975 -3,725 493 -9,207 15,974
II 14,310 4,403 2,338 3,519 10,260 -3,168 13,708 4 10,545 35,115
III 3,174 14,975 4,952 9,488 29,415 1,309 4,576 -109 5,776 38,365
IV -3,425 5,471 3,661 11,309 20,441 3,098 9,823 -32 12,890 29,905
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