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 abroadNote 2 Portfolio investment Other investment Canadian assets, net flows
Foreign bonds Foreign stocks Foreign money market Total Loans DepositsNote 3 Official international reservesNote 4 Other assets Total
Vector number v114643 v114645 v114646 v30424737 v114644 v114648 v114649 v114650 v114651 v114647 v114642
  millions of dollars
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 -2,959 2,267 -4,101 -395 -2,229 -7,658 -18,440 -1,414 3,674 -23,837 -29,025
II -1,979 8,563 -8,822 670 411 -5,160 -14,867 -1,118 4,178 -16,967 -18,535
III -12,479 612 -5,616 532 -4,472 -169 6,482 310 8,762 15,385 -1,566
IV -7,477 -4,905 -1,654 953 -5,605 1,553 6,693 -1,206 -4,829 2,210 -10,872
2012  
I -5,496 3,793 -8,137 231 -4,113 -131 8,549 Note ..: not available for a specific reference period 519 8,938 -671
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