3.7.1.2. Balance of payments – BPM6 (2001–)*(2/2)

(million EUR)

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Denomination 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
1. Current account, net 577 1 597 3 570 1 260 2 648 5 209 2 536 408 -658 99
1.A. Goods and services, net 6 243 6 776 7 123 6 712 8 959 10 084 8 659 6 003 4 125 3 100
1.A.a. Goods, net 2 853 2 933 3 331 2 125 4 052 3 958 1 712 -1 684 -3 043 -866
Credit 71 721 69 961 70 243 73 826 78 477 78 588 85 285 88 662 93 054 88 706
Debit 68 868 67 028 66 912 71 701 74 425 74 630 83 573 90 346 96 097 89 572
1.A.b. Services, net 3 390 3 844 3 792 4 587 4 907 6 126 6 947 7 687 7 168 3 966
Credit 16 201 16 163 17 041 18 768 20 286 21 878 23 817 25 359 27 112 19 627
Debit 12 811 12 320 13 249 14 181 15 378 15 753 16 870 17 671 19 944 15 661
1.A.b.4. Travel, net 2 535 2 478 2 605 2 888 3 148 3 166 3 307 3 612 4 063 2 034
Credit 4 318 3 951 4 041 4 419 4 798 5 120 5 483 5 851 6 515 3 040
Debit 1 782 1 473 1 437 1 531 1 650 1 954 2 176 2 239 2 452 1 006
1.B. Primary income, net -4 941 -4 249 -2 912 -4 625 -5 131 -3 131 -5 021 -5 049 -3 927 -2 260
1.B.1. Compensation of employees, net 1 014 1 693 2 290 2 332 2 759 2 823 2 627 2 422 2 572 1 765
1.B.2. Investment income, net -7 252 -7 230 -6 612 -8 282 -9 180 -7 057 -8 869 -8 670 -7 641 -5 227
1.B.2.1. Direct investment income, net -4 806 -4 533 -4 056 -5 875 -7 080 -5 299 -7 344 -7 345 -6 435 -4 465
1.B.2.2. Portfolio investment income, net -1 962 -2 274 -2 387 -2 329 -2 074 -1 706 -1 469 -1 315 -1 249 -772
1.B.2.3. Other investment income, net -1 356 -1 216 -817 -612 -427 -303 -244 -203 -201 -210
1.B.2.4. Reserve assets income, net 872 793 648 533 401 252 187 192 244 220
1.B.3. Other primary income, net 1 297 1 288 1 410 1 324 1 290 1 103 1 221 1 200 1 142 1 203
1.C. Secondary income, net -725 -930 -641 -827 -1 180 -1 744 -1 102 -547 -857 -742
2. Capital account, net 2 394 2 549 3 852 3 908 5 160 -21 1 075 3 063 2 697 2 747
3. Financial account (net assets) 570 4 521 6 360 4 497 6 658 3 549 1 866 1 073 153 256
3.1. Direct investment (net assets) -1 076 -2 183 -1 232 -3 078 -1 438 -2 563 -2 037 -2 858 -926 34
3.1.k. Direct investment (assets) 3 520 2 375 3 892 4 186 5 753 -8 414 4 987 3 748 1 419 728
3.1.1.k. Equity 359 12 823 1 377 3 088 -14 746 -6 277 211 3 059 2 339 3 984
3.1.t. Direct investment (liabilities) 4 596 4 558 5 124 7 264 7 192 -5 851 7 024 6 606 2 345 694
3.1.1.t. Equity 4 555 6 007 4 389 4 838 5 258 -827 8 405 4 726 5 484 352
3.2. Portfolio investment (net assets) -6 514 -1 543 -3 101 3 313 5 657 4 823 3 761 -185 1 545 -2 395
3.2.k Assets -1 652 -786 -378 1 946 391 999 1 916 -140 258 621
3.2.t Liabilities 4 862 757 2 723 -1 367 -5 265 -3 823 -1 845 44 -1 286 3 016
3.3. Financial derivatives and employee stock options 787 -306 -618 265 -686 53 -1 050 -933 22 -441
3.4. Other investment 3 499 11 904 10 102 3 258 8 038 7 335 1 163 1 450 -813 -2 872
3.4.k Assets -1 757 -1 832 -122 -699 5 471 6 229 1 750 2 407 136 81
3.4.t Liabilities -5 257 -13 737 -10 224 -3 957 -2 567 -1 107 588 956 949 2 954
3.5.k. Reserve assets 3 874 -3 351 1 210 740 -4 913 -6 100 28 3 598 325 5 931
4. Net errors and omissions -2 402 376 -1 061 -671 -1 150 -1 640 -1 746 -2 398 -1 886 -2 589
Net external financing capacity
Top-down approach (current and capital account balance) 2 971 4 146 7 422 5 168 7 808 5 188 3 611 3 471 2 039 2 846
Bottom-up approach (financial account balance) 570 4 521 6 360 4 497 6 658 3 549 1 866 1 073 153 256
*Source: National Bank of Hungary.  Preliminary data  Revised data 

© Hungarian Central Statistical Office, 2011