Table 1-1
Balance of payments, all countries, not seasonally adjusted, quarterly and annual — 2010 to 2011

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2010 to 2011


Table summary
This table displays the results of 2010 to 2011 2010, 2011 and i, calculated using i, ii, iii, iv, annual and millions of dollars units of measure (appearing as column headers).

  2010 2011
I II III IV Annual I II III IV Annual
  millions of dollars
Current account  
Receipts  
Goods and services 113,028 119,736 119,018 124,305 476,087 124,874 131,010 136,184 140,325 532,393
Goods 96,634 102,155 99,230 106,816 404,835 108,056 112,410 114,897 122,185 457,548
Services 16,394 17,581 19,788 17,489 71,252 16,818 18,599 21,287 18,140 74,844
Investment income 14,866 14,374 15,489 17,065 61,794 16,432 16,467 16,615 17,126 66,640
Direct investment income 8,820 8,524 9,435 11,057 37,836 10,468 10,588 10,797 10,876 42,729
Portfolio investment income 4,397 4,323 4,323 4,334 17,377 4,218 4,209 4,224 4,377 17,028
Other investment income 1,648 1,527 1,731 1,674 6,580 1,746 1,669 1,594 1,874 6,883
Current transfers 2,487 2,036 1,931 2,807 9,261 2,278 1,917 1,861 1,953 8,009
Total current account 130,381 136,146 136,438 144,177 547,142 143,585 149,393 154,659 159,404 607,041
Payments  
Goods and services 119,957 127,769 130,431 129,687 507,844 131,450 140,423 140,885 142,836 555,594
Goods 96,119 104,160 106,773 106,780 413,832 106,842 114,797 115,399 119,091 456,129
Services 23,838 23,608 23,658 22,906 94,010 24,607 25,626 25,486 23,746 99,465
Investment income 18,484 18,959 19,406 21,381 78,230 21,868 21,415 21,998 22,444 87,725
Direct investment income 8,343 9,138 9,220 10,019 36,720 11,380 10,999 11,343 11,837 45,559
Portfolio investment income 8,517 8,664 9,071 9,285 35,537 9,106 9,335 9,632 9,849 37,922
Other investment income 1,624 1,157 1,115 2,077 5,973 1,381 1,080 1,023 758 4,242
Current transfers 4,023 2,361 2,846 2,702 11,932 4,056 2,397 2,711 2,863 12,027
Total current account 142,464 149,088 152,683 153,769 598,004 157,373 164,235 165,594 168,143 655,345
Balances  
Goods and services -6,930 -8,033 -11,413 -5,382 -31,758 -6,575 -9,413 -4,701 -2,511 -23,200
Goods 514 -2,005 -7,543 35 -8,999 1,214 -2,387 -502 3,094 1,419
Services -7,444 -6,028 -3,870 -5,417 -22,759 -7,789 -7,026 -4,199 -5,606 -24,620
Investment income -3,618 -4,585 -3,917 -4,316 -16,436 -5,436 -4,948 -5,384 -5,317 -21,085
Direct investment income 477 -614 215 1,038 1,116 -912 -411 -546 -961 -2,830
Portfolio investment income -4,120 -4,341 -4,749 -4,951 -18,161 -4,888 -5,126 -5,409 -5,472 -20,895
Other investment income 24 370 617 -402 609 365 589 571 1,115 2,640
Current transfers -1,536 -324 -916 105 -2,671 -1,778 -480 -851 -909 -4,018
Total current account -12,084 -12,943 -16,245 -9,593 -50,865 -13,789 -14,842 -10,935 -8,738 -48,304
Capital and financial account
  Note 1  Note 1Note 2
 
Capital account, net flows 1,174 1,265 1,120 1,198 4,757 1,278 1,304 1,149 1,082 4,813
Financial account, net flows 8,969 8,662 19,067 8,251 44,949 15,993 10,357 10,685 13,669 50,704
Canadian assets, net flows  
Canadian direct investment abroad 3,146 -9,559 -2,238 -31,097 -39,748 -11,554 -3,466 -17,102 -13,093 -45,215
Canadian portfolio investment -5,179 -1,263 -7,133 -960 -14,535 -2,875 -1,945 -4,999 -7,773 -17,592
Foreign bonds 2,301 2,696 425 -4,043 1,379 772 7,437 2,682 -5,003 5,888
Foreign stocks -6,285 -4,703 -5,218 2,734 -13,472 -3,383 -10,283 -7,874 -3,978 -25,518
Foreign money market -1,196 744 -2,340 350 -2,442 -264 901 192 1,208 2,037
Other Canadian investment -34,795 -4,987 5,066 -17,482 -52,198 -12,458 -25,627 9,160 -16,681 -45,606
Loans -14,786 1,966 2,283 -5,887 -16,424 -2,874 -7,943 1,422 -4,649 -14,044
Deposits -12,467 -1,208 2,726 -813 -11,762 -10,926 -20,790 1,582 -2,753 -32,887
Official international reserves -3,667 54 -985 609 -3,989 -2,564 -721 -1,185 -3,591 -8,061
Other assets -3,874 -5,799 1,041 -11,392 -20,024 3,906 3,827 7,340 -5,688 9,385
Canadian assets, net flows -36,829 -15,809 -4,305 -49,540 -106,483 -26,887 -31,037 -12,942 -37,546 -108,412
Canadian liabilities, net
flows
 
Foreign direct investment in
Canada
11,137 8,903 -7,976 12,055 24,119 12,326 17,439 7,141 3,439 40,345
Foreign portfolio investment 18,806 41,133 29,619 27,871 117,429 22,204 19,364 27,937 26,131 95,636
Canadian bonds 19,267 32,866 26,296 17,683 96,112 12,104 12,037 7,448 11,358 42,947
Canadian stocks -482 7,926 2,909 7,826 18,179 9,289 2,164 4,252 4,962 20,667
Canadian money market 21 340 415 2,362 3,138 811 5,162 16,238 9,810 32,021
Other foreign investment 15,855 -25,565 1,729 17,864 9,883 8,350 4,591 -11,452 21,645 23,134
Loans 2,010 155 -1,006 7,454 8,613 -5,739 -1,774 -549 5,829 -2,233
Deposits 12,843 -26,118 2,955 10,445 125 13,007 6,333 -11,034 15,736 24,042
Other liabilities 1,002 398 -220 -34 1,146 1,082 33 131 80 1,326
Canadian liabilities, net
flows
45,798 24,470 23,373 57,791 151,432 42,880 41,394 23,626 51,215 159,115
Total capital and financial
account, net flows
10,143 9,927 20,188 9,449 49,707 17,271 11,661 11,834 14,751 55,517
Statistical discrepancy 1,940 3,016 -3,942 144 1,158 -3,482 3,181 -899 -6,013 -7,213
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