Table 61-2
Financial account,1 United States, quarterly — Liabilities, net flows

Warning View the most recent version.

Archived Content

Information identified as archived is provided for reference, research or recordkeeping purposes. It is not subject to the Government of Canada Web Standards and has not been altered or updated since it was archived. Please "contact us" to request a format other than those available.

PDF | Symbols Next Previous

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 CanadaNote 2Note 3
Portfolio investment Other investment Canadian liabilities, net flows
Canadian bonds Canadian stocks Canadian money market Total LoansNote 4 DepositsNote 5 Other liabilities Total
Vector number v114653 v114655 v114656 v114657 v114654 v114659 v114660 v114661 v114658 v114652
  millions of dollars
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 4,884 12,600 6,382 1,464 20,446 -5,515 -3,725 893 -8,348 16,983
II 12,290 4,701 2,401 3,519 10,620 -3,147 13,708 92 10,653 33,563
III 1,782 14,960 4,949 9,488 29,397 1,306 4,577 -89 5,794 36,972
IV -3,219 6,425 3,876 11,309 21,610 3,667 8,319 426 12,412 30,803
2012  
I 6,640 12,099 5 -2,999 9,105 -2,428 1,821 -43 -650 15,095
Date modified: