International Investment Position - BPM6


Romania’s international investment position refers to the stocks of foreign financial assets and liabilities at a given moment. Stocks at the end of a period are calculated based on the stocks at the beginning of the period, as well as on the flows of financial transactions (subject to the financial account of the balance of payments), by taking into account the exchange rate fluctuations, the price movements on the international market, and other financial changes over the analysed period..

The balance of payments data sets are compiled and published according to the international standards in statistics presented in the IMF’s Balance of Payments and International Investment Position Manual (sixth edition, BPM6). Further details regarding the main methodological changes and data comparison are available in the Implementing the new Balance of Payments Manual (BPM6).

Romania's International Investment Position*

  Q2/2023 Q3/2023 Q4/2023 Q1/2024 Q2/2024
EUR million - end of period
NET POSITION-120.144-119.810-127.539-128.228-131.730
ASSETS118.631125.297128.263136.157137.808
    A. Direct investment17.47217.75220.44220.29221.316
        - Equity and Investment Funds shares/units*3.8593.9645.4535.4595.451
        - Debt instruments13.61313.78714.98814.83315.866
    B. Portfolio investment9.99310.15510.61510.76410.742
        - Equity and investment fund shares2.9242.9543.3633.7173.856
        - Debt instruments7.0687.2017.2527.0476.885
    C. Financial derivatives301225107239112
    D. Other investment31.60032.04931.11733.68533.997
        - Other equity1.0281.0441.0131.0321.038
        - Currency and deposits14.13214.59113.84315.54015.018
            - Short-term12.92413.47512.70814.41713.944
            - Long-term1.2081.1161.1351.1231.074
        - Loans2.5662.5952.7442.6802.855
            - Short-term245235368341355
            - Long-term2.3222.3602.3762.3392.500
        - Insurance, pension schemes, and standardised guarantee schemes846910706826847
        - Trade credits and advances12.89312.76112.63513.51414.145
            - Short-term9.6979.3368.6268.7349.308
            - Long-term3.1973.4254.0104.7804.837
        - Other accounts receivable/payable1341481759395
            - Short-term1291431708688
            - Long-term55577
    E. Reserve assets59.26665.11765.98371.17771.641
        - Monetary gold5.8495.8796.2136.8987.249
        - Foreign exchange reserves53.41859.23859.77064.28064.392
LIABILITIES238.775245.108255.802264.385269.538
    A. Direct investment122.384125.744132.078132.838134.941
        - Equity and Investment Funds shares/units*79.02181.50184.76886.71586.777
        - Debt instruments43.36344.24347.30946.12348.164
    B. Portfolio investment62.90364.86868.86676.10477.121
        - Equity and investment fund shares2.3732.6252.5642.6412.733
        - Debt instruments60.53062.24366.30373.46374.389
    C. Financial derivatives23815413624291
    D. Other investment53.25054.34154.72355.20057.385
        - Other equity-----
        - Currency and deposits8.7939.3678.9958.8069.273
            - Short-term4.3014.8914.6204.4824.936
            - Long-term4.4934.4764.3754.3244.337
        - Loans26.67127.59928.77829.46429.573
            - Short-term1.4961.3871.3391.2621.276
            - Long-term25.17526.21227.43828.20228.297
        - Insurance, pension schemes, and standardised guarantee schemes185192205218231
        - Trade credits and advances14.03713.60413.25713.10713.726
            - Short-term13.77413.32012.88712.74413.375
            - Long-term263284370363352
        - Other accounts receivable/payable2282081832641.238
            - Short-term1761721532341.202
            - Long-term5237303036
        - SDRs (allocation of)3.3363.3703.3053.3413.344

The data are provisional and may be subject to periodic review